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#ethereumspotetfs216mweeklyoutflow

ethereumspotetfs216mweeklyoutflow

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#ethereumspotetfs216mweeklyoutflow U.S. spot Ethereum ETFs recorded roughly $216 million in net weekly outflows for the May 18–22 trading week, extending the recent institutional selling trend in Ethereum-related products. Key Details The largest outflow reportedly came from BlackRock’s ETHA fund, with around $189 million withdrawn during the week. Fidelity’s FETH also saw notable redemptions. Outflows slowed toward the end of the week, which some analysts interpret as possible seller exhaustion rather than accelerating panic. Why This Matters ETF flows are closely watched because they reflect: institutional appetite, long-term positioning, and broader market confidence. Sustained outflows usually indicate: reduced risk appetite, macro uncertainty, or capital rotating elsewhere. Market Interpretation Despite the negative ETH flows: some newer crypto ETFs tied to XRP and Solana reportedly still attracted inflows during the same period. This suggests selective rotation rather than total crypto market capitulation. ETH Price Impact ETF outflows can pressure ETH price because they: weaken institutional demand narratives, reduce bullish sentiment, and often coincide with lower liquidity conditions. However, ETF flows are not the only driver: Fed expectations, BTC direction, staking demand, and broader macro sentiment still dominate medium-term trend structure. Bigger Picture Even after the recent withdrawals: spot ETH ETFs still collectively manage billions in assets, and cumulative inflows remain strongly positive since launch. The next major catalyst for ETH likely remains: Fed policy expectations, potential staking-related ETF developments, and whether institutional flows stabilize in coming weeks.
#ethereumspotetfs216mweeklyoutflow U.S. spot Ethereum ETFs recorded roughly $216 million in net weekly outflows for the May 18–22 trading week, extending the recent institutional selling trend in Ethereum-related products.

Key Details

The largest outflow reportedly came from BlackRock’s ETHA fund, with around $189 million withdrawn during the week.

Fidelity’s FETH also saw notable redemptions.

Outflows slowed toward the end of the week, which some analysts interpret as possible seller exhaustion rather than accelerating panic.

Why This Matters

ETF flows are closely watched because they reflect:

institutional appetite,

long-term positioning,

and broader market confidence.

Sustained outflows usually indicate:

reduced risk appetite,

macro uncertainty,

or capital rotating elsewhere.

Market Interpretation

Despite the negative ETH flows:

some newer crypto ETFs tied to XRP and Solana reportedly still attracted inflows during the same period.

This suggests selective rotation rather than total crypto market capitulation.

ETH Price Impact

ETF outflows can pressure ETH price because they:

weaken institutional demand narratives,

reduce bullish sentiment,

and often coincide with lower liquidity conditions.

However, ETF flows are not the only driver:

Fed expectations,

BTC direction,

staking demand,

and broader macro sentiment still dominate medium-term trend structure.

Bigger Picture

Even after the recent withdrawals:

spot ETH ETFs still collectively manage billions in assets,

and cumulative inflows remain strongly positive since launch.

The next major catalyst for ETH likely remains:

Fed policy expectations,

potential staking-related ETF developments,

and whether institutional flows stabilize in coming weeks.
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#ethereumspotetfs216mweeklyoutflow U.S. spot Ethereum ETFs recorded roughly $216 million in net weekly outflows during the May 18–22 trading week, continuing the recent institutional pullback from ETH products. Key Details Total weekly ETH ETF outflow: about -$216M Largest outflow: BlackRock’s ETHA: about -$189M Fidelity’s FETH also saw notable redemptions. One smaller BlackRock ETH product reportedly still saw minor inflows. Why It Matters ETF flows are watched as a proxy for: institutional sentiment, long-term capital allocation, and risk appetite toward crypto. Persistent outflows usually indicate: investors reducing exposure, profit-taking, or rotation into safer/lower-volatility assets. Market Interpretation Despite the outflows, analysts noted the selling pace slowed later in the week: early-week ETH ETF redemptions were much larger, but daily outflows tapered toward the end of the week. That suggests: panic selling may be easing, though sentiment remains cautious. Broader Context The ETH ETF weakness comes amid: uncertainty around Fed rate timing, macro volatility, and competition from newer crypto ETF products like XRP and SOL-related offerings. ETH has also faced: weaker momentum versus Bitcoin, concerns about ecosystem revenue growth, and reduced speculative activity compared to previous cycles. What Traders Are Watching Now Bullish reversal signals would include: ETF inflows turning positive again, ETH reclaiming major resistance levels, improving on-chain activity, and dovish Fed expectations. If outflows continue for multiple more weeks: ETH could underperform BTC further short term, especially if macro conditions tighten again. I prefer this response
#ethereumspotetfs216mweeklyoutflow U.S. spot Ethereum ETFs recorded roughly $216 million in net weekly outflows during the May 18–22 trading week, continuing the recent institutional pullback from ETH products.

Key Details

Total weekly ETH ETF outflow: about -$216M

Largest outflow:

BlackRock’s ETHA: about -$189M

Fidelity’s FETH also saw notable redemptions.

One smaller BlackRock ETH product reportedly still saw minor inflows.

Why It Matters

ETF flows are watched as a proxy for:

institutional sentiment,

long-term capital allocation,

and risk appetite toward crypto.

Persistent outflows usually indicate:

investors reducing exposure,

profit-taking,

or rotation into safer/lower-volatility assets.

Market Interpretation

Despite the outflows, analysts noted the selling pace slowed later in the week:

early-week ETH ETF redemptions were much larger,

but daily outflows tapered toward the end of the week.

That suggests:

panic selling may be easing,

though sentiment remains cautious.

Broader Context

The ETH ETF weakness comes amid:

uncertainty around Fed rate timing,

macro volatility,

and competition from newer crypto ETF products like XRP and SOL-related offerings.

ETH has also faced:

weaker momentum versus Bitcoin,

concerns about ecosystem revenue growth,

and reduced speculative activity compared to previous cycles.

What Traders Are Watching Now

Bullish reversal signals would include:

ETF inflows turning positive again,

ETH reclaiming major resistance levels,

improving on-chain activity,

and dovish Fed expectations.

If outflows continue for multiple more weeks:

ETH could underperform BTC further short term,

especially if macro conditions tighten again.

I prefer this response
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$PLAY just delivered one of the strongest momentum moves on the board today. The chart exploded from the 0.064 area and climbed all the way to 0.11158 in a very aggressive rally. Even after some cooling off, the price is still holding near 0.10293 with an incredible 47%+ daily gain. That kind of move instantly puts a project on traders’ radar. What really stands out here is the strength of the breakout candles. Buyers came in with serious force, and volume confirms it. More than 2.73B PLAY traded in 24 hours with over 253M USDT volume shows this was not a weak pump. The market was heavily active, and momentum traders clearly rushed into the move. Right now, the chart is entering an important phase. After touching 0.11158, price started slowing down and printing smaller candles. This usually means traders are taking profits while the market decides whether it has enough strength for another leg higher. The key support zone now looks around 0.100–0.098. As long as PLAY stays above that region, bulls still control the short-term structure. If momentum returns and buyers reclaim the recent high, another breakout attempt could happen very quickly. At the same time, volatility here is extremely high. Fast rallies like this can create sharp pullbacks without warning, especially after such a huge percentage move in one day. Overall, PLAY no longer looks unnoticed. The chart has already attracted major attention, and now the market is watching closely to see if this becomes a sustainable trend or just a short-term explosion fueled by hype and momentum. #ETFShiftToHYPEAndXRP #NEARMarketCapExceedsThreeBillion #USIranNearHormuzStraitReopenDeal #EthereumSpotETFs216MWeeklyOutflow #EthereumSpotETFs216MWeeklyOutflow
$PLAY just delivered one of the strongest momentum moves on the board today. The chart exploded from the 0.064 area and climbed all the way to 0.11158 in a very aggressive rally. Even after some cooling off, the price is still holding near 0.10293 with an incredible 47%+ daily gain. That kind of move instantly puts a project on traders’ radar.

What really stands out here is the strength of the breakout candles. Buyers came in with serious force, and volume confirms it. More than 2.73B PLAY traded in 24 hours with over 253M USDT volume shows this was not a weak pump. The market was heavily active, and momentum traders clearly rushed into the move.

Right now, the chart is entering an important phase. After touching 0.11158, price started slowing down and printing smaller candles. This usually means traders are taking profits while the market decides whether it has enough strength for another leg higher.

The key support zone now looks around 0.100–0.098. As long as PLAY stays above that region, bulls still control the short-term structure. If momentum returns and buyers reclaim the recent high, another breakout attempt could happen very quickly.

At the same time, volatility here is extremely high. Fast rallies like this can create sharp pullbacks without warning, especially after such a huge percentage move in one day.

Overall, PLAY no longer looks unnoticed. The chart has already attracted major attention, and now the market is watching closely to see if this becomes a sustainable trend or just a short-term explosion fueled by hype and momentum.

#ETFShiftToHYPEAndXRP #NEARMarketCapExceedsThreeBillion #USIranNearHormuzStraitReopenDeal #EthereumSpotETFs216MWeeklyOutflow #EthereumSpotETFs216MWeeklyOutflow
Ms Puiyi:
That was a clean breakout. Hard to ignore that kind of volume.
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Pozitīvs
$SOL Augstākie Zemi — Momentum Saspiestie Punkti Uz Izlaušanos 🚀 Tirdzniecības Iestatījums: Garš Ienākšanas Zona: 86.0 – 86.4 TP1: 87.20 TP2: 88.10 TP3: 89.10 SL: 84.90 $SOL turas virs savas lokālās struktūras pēc spēcīgas atveseļošanās un turpina drukāt augstākus zemus, parādot, ka pircēji aizsargā katru kritumu. Cena konsolidējas tieši zem pretestības, kas bieži darbojas kā degviela virziena kustībai. Ilgstoša turēšana virs 86 saglabā bullish momentum un atver ceļu uz 88–89 likviditātes reģionu. Pašreizējā struktūra joprojām dod priekšroku turpināšanai pār sabrukumu. Tirdzniecība Šeit Uz $SOL 👇 {future}(SOLUSDT) #sol #HassettOilDropFedRateCutRoom #HassettIranDealLinkedToFedRateCuts #EthereumSpotETFs216MWeeklyOutflow #USIranNearHormuzStraitReopenDeal
$SOL Augstākie Zemi — Momentum Saspiestie Punkti Uz Izlaušanos 🚀

Tirdzniecības Iestatījums: Garš

Ienākšanas Zona: 86.0 – 86.4
TP1: 87.20
TP2: 88.10
TP3: 89.10
SL: 84.90

$SOL turas virs savas lokālās struktūras pēc spēcīgas atveseļošanās un turpina drukāt augstākus zemus, parādot, ka pircēji aizsargā katru kritumu. Cena konsolidējas tieši zem pretestības, kas bieži darbojas kā degviela virziena kustībai.

Ilgstoša turēšana virs 86 saglabā bullish momentum un atver ceļu uz 88–89 likviditātes reģionu. Pašreizējā struktūra joprojām dod priekšroku turpināšanai pār sabrukumu.

Tirdzniecība Šeit Uz $SOL 👇


#sol #HassettOilDropFedRateCutRoom #HassettIranDealLinkedToFedRateCuts #EthereumSpotETFs216MWeeklyOutflow #USIranNearHormuzStraitReopenDeal
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$FIDA cīnās par savu dzīvību tieši šeit! 📉🚨
Lāči ir bijuši pilnīgi neapturami 15m candlestick diagrammā. Mēs redzējām, kā FIDA slīdēja lejup no 0.03901, asinis izplūstot, līdz tas beidzot sasniedza biedējo 24h minimumu pie 0.03486.
Bet pagaidiet—skatieties uz to pēdējo sveci. Mēs redzam dzīvības pazīmes pie 0.03563 (leju -3.75%), tieši kad tas mēģina atkal pārsniegt MA(7) līniju. Tirdzniecības apjoms paliek augsts, kas nozīmē, ka tirgus pievērš nopietnu uzmanību šai zonai.
Vai šis ir galīgais "pirkt dipā" apgriešanās brīdis, vai mēs tikai pauzējam pirms vēl viena krituma? Spriedze pie šī atbalsta līmeņa ir traka! 📉👀


#HassettOilDropFedRateCutRoom
#HassettIranDealLinkedToFedRateCuts
#EthereumSpotETFs216MWeeklyOutflow
#USIranNearHormuzStraitReopenDeal
#NEARMarketCapExceedsThreeBillion
crypto _emranbnb:
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$BTC veic jaudīgas kustības! 👑🔥
Skatieties to milzīgo dieva sveci 15m velos! Pēc tam, kad tika izsviestas vājās rokas netālu no $77,184 vietējā grunts, BTC vienkārši eksplodēja uz augšu, sasniedzot 24 stundu augstāko līmeni $77,773.69.
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#HassettOilDropFedRateCutRoom
#HassettIranDealLinkedToFedRateCuts
#EthereumSpotETFs216MWeeklyOutflow
#USIranNearHormuzStraitReopenDeal
#NEARMarketCapExceedsThreeBillion
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أنا مو محترف بالتداول، وما زلت أتعلم كل يوم. لكن الفرق بيني اليوم وبدايتي كبير جدًا، والسبب مو إني صرت أتوقع السوق صح دائمًا… السبب إني تعلمت أتحكم بالمخاطرة وألتزم بقواعد بسيطة غيرت طريقتي بالكامل. 👇 1️⃣ ما أخاطر بأكثر من 1–2% في أي صفقة. الخسارة الصغيرة أقدر أتعامل معها، لكن الخسارة الكبيرة تدمر الحساب والنفسية بنفس الوقت. 🛑 2️⃣ الستوب لوس صار جزء أساسي قبل الدخول. ما عاد في “أشوف بعدين”. إذا ما عندي نقطة خروج واضحة، غالبًا الصفقة من البداية غلط. 🎯 3️⃣ ما ألاحق الضخات القوية. فومو الشموع الخضراء كان أكثر شيء يخسرني. الآن أفضل أنتظر دخول نظيف بدل مطاردة حركة انتهت بالفعل. 📉 4️⃣ أزيد فقط في الصفقات الرابحة. زمان كنت أعدل على الخسائر وأغرق أكثر. اليوم إذا السوق أكد فكرتي أضيف بحذر، وإذا كنت غلطان أخرج وأحافظ على رأسمالي. 🧠 5️⃣ أخذ أرباح جزئية دائمًا. مو لازم أمسك القمة المثالية. تأمين جزء من الربح يخلي التداول أهدأ وأسهل نفسيًا. 💰 مع الوقت فهمت إن النجاح بالتداول مو عن الكمال… بل عن الانضباط وإدارة المخاطر. السوق دائمًا يعطي فرص جديدة، لكن رأس المال لازم يبقى موجود للاستفادة منها. وش أهم قاعدة عندك في الكريبتو؟ 👀 #EthereumSpotETFs216MWeeklyOutflow $ERA $DEXE $MORPHO 🔥
أنا مو محترف بالتداول، وما زلت أتعلم كل يوم. لكن الفرق بيني اليوم وبدايتي كبير جدًا، والسبب مو إني صرت أتوقع السوق صح دائمًا… السبب إني تعلمت أتحكم بالمخاطرة وألتزم بقواعد بسيطة غيرت طريقتي بالكامل. 👇

1️⃣ ما أخاطر بأكثر من 1–2% في أي صفقة.
الخسارة الصغيرة أقدر أتعامل معها، لكن الخسارة الكبيرة تدمر الحساب والنفسية بنفس الوقت. 🛑

2️⃣ الستوب لوس صار جزء أساسي قبل الدخول.
ما عاد في “أشوف بعدين”. إذا ما عندي نقطة خروج واضحة، غالبًا الصفقة من البداية غلط. 🎯

3️⃣ ما ألاحق الضخات القوية.
فومو الشموع الخضراء كان أكثر شيء يخسرني. الآن أفضل أنتظر دخول نظيف بدل مطاردة حركة انتهت بالفعل. 📉

4️⃣ أزيد فقط في الصفقات الرابحة.
زمان كنت أعدل على الخسائر وأغرق أكثر. اليوم إذا السوق أكد فكرتي أضيف بحذر، وإذا كنت غلطان أخرج وأحافظ على رأسمالي. 🧠

5️⃣ أخذ أرباح جزئية دائمًا.
مو لازم أمسك القمة المثالية. تأمين جزء من الربح يخلي التداول أهدأ وأسهل نفسيًا. 💰

مع الوقت فهمت إن النجاح بالتداول مو عن الكمال… بل عن الانضباط وإدارة المخاطر.
السوق دائمًا يعطي فرص جديدة، لكن رأس المال لازم يبقى موجود للاستفادة منها.

وش أهم قاعدة عندك في الكريبتو؟ 👀

#EthereumSpotETFs216MWeeklyOutflow
$ERA $DEXE $MORPHO 🔥
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Ethereum Spot ETFs See $216 Million Net Outflow Over Past Week Ethereum spot ETFs experienced a net outflow of $216 million during the trading week from May 18 to May 22, according to Foresight News. Data from SoSoValue indicates that the Blackrock ETF ETHA recorded the largest outflow, amounting to $189 million, bringing its historical total net inflow to $11.62 billion. Fidelity's ETF FETH followed with a weekly outflow of $21.01 million, with its historical net inflow reaching $2.18 billion. Conversely, the Blackrock ETF ETHB saw the highest net inflow of $5.52 million for the week, with a historical net inflow of $518 million. As of the time of reporting, the total net asset value of Ethereum spot ETFs stands at $11.84 billion, with an ETF net asset ratio of 4.73% compared to Ethereum's total market capitalization. The cumulative historical net inflow for these ETFs has reached $11.62 billion. DYOR #EthereumSpotETFs216MWeeklyOutflow @Binance_News $ETH {spot}(ETHUSDT)
Ethereum Spot ETFs See $216 Million Net Outflow Over Past Week
Ethereum spot ETFs experienced a net outflow of $216 million during the trading week from May 18 to May 22, according to Foresight News. Data from SoSoValue indicates that the Blackrock ETF ETHA recorded the largest outflow, amounting to $189 million, bringing its historical total net inflow to $11.62 billion. Fidelity's ETF FETH followed with a weekly outflow of $21.01 million, with its historical net inflow reaching $2.18 billion. Conversely, the Blackrock ETF ETHB saw the highest net inflow of $5.52 million for the week, with a historical net inflow of $518 million.
As of the time of reporting, the total net asset value of Ethereum spot ETFs stands at $11.84 billion, with an ETF net asset ratio of 4.73% compared to Ethereum's total market capitalization. The cumulative historical net inflow for these ETFs has reached $11.62 billion.

DYOR

#EthereumSpotETFs216MWeeklyOutflow

@Binance News

$ETH
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$PEPE Momentuma saspiešana tuvu izlaušanās zonai norāda, ka pircēji klusi veido spēku 🐸🚀 Tirdzniecības iestatījums: Garais Iegādes zona: 0.00000360 – 0.00000366 TP1: 0.00000372 TP2: 0.00000376 TP3: 0.00000380 SL: 0.00000351 $PEPE rāda klasisku turpinājuma struktūru pēc iepriekšējā pārdošanas spiediena uzsūkšanas un pārejas uz augstāku zemāko cenu secību. Cena pakāpeniski virzās uz augšu, paliekot stingri saspiesta zem tuvējās pretestības, kas bieži darbojas kā pirmsizplešanās fāze pirms spēcīgākas virziena kustības sākuma. Grafiks šobrīd atbalsta bullish turpinājumu, jo pircēji konsekventi aizsargā atsitienus, neļaujot dziļākām atkāpēm. Ja moments saglabājas un likviditāte virs nesenajiem augstumiem tiek aktivizēta, kustība var pagarināties līdz 0.00000380+. Turēšanās virs 0.00000351 saglabā garo struktūru neskartu un uztur augšupvērstu spiedienu. Tirdzniecība šeit uz $PEPE 👇 {spot}(PEPEUSDT) #PEPE‏ #USConsumerSentimentThirdMonthDecline #HassettOilDropFedRateCutRoom #HassettIranDealLinkedToFedRateCuts #EthereumSpotETFs216MWeeklyOutflow
$PEPE Momentuma saspiešana tuvu izlaušanās zonai norāda, ka pircēji klusi veido spēku 🐸🚀

Tirdzniecības iestatījums: Garais

Iegādes zona: 0.00000360 – 0.00000366
TP1: 0.00000372
TP2: 0.00000376
TP3: 0.00000380
SL: 0.00000351

$PEPE rāda klasisku turpinājuma struktūru pēc iepriekšējā pārdošanas spiediena uzsūkšanas un pārejas uz augstāku zemāko cenu secību. Cena pakāpeniski virzās uz augšu, paliekot stingri saspiesta zem tuvējās pretestības, kas bieži darbojas kā pirmsizplešanās fāze pirms spēcīgākas virziena kustības sākuma.

Grafiks šobrīd atbalsta bullish turpinājumu, jo pircēji konsekventi aizsargā atsitienus, neļaujot dziļākām atkāpēm. Ja moments saglabājas un likviditāte virs nesenajiem augstumiem tiek aktivizēta, kustība var pagarināties līdz 0.00000380+. Turēšanās virs 0.00000351 saglabā garo struktūru neskartu un uztur augšupvērstu spiedienu.

Tirdzniecība šeit uz $PEPE 👇


#PEPE‏ #USConsumerSentimentThirdMonthDecline #HassettOilDropFedRateCutRoom #HassettIranDealLinkedToFedRateCuts #EthereumSpotETFs216MWeeklyOutflow
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