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[ TODAY ETH MARKET ] A small retracement occour in ETH MARKET
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$RAVE Signal】1H price stagnation and a short entry, momentum divergence under a negative funding rate
$RAVE 1H timeframe rises then falls back, with selling pressure showing up near 4H Bollinger Upper Band 18.64. The MACD 1H histogram is still expanding, but the 4H histogram begins to contract, and momentum divergence across multiple timeframes appears. Order book depth imbalance -10.58%: sell orders are thicker, funding rate -0.1147%, and shorts have a clear cost advantage. OI remains stable—this is not a healthy, continuously sustained uptrend structure.
Price keeps testing around 16.7
RAVE49,98%
BTC0,08%
ETH-0,88%
SOL4,05%
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4.17 Gold Morning Review
Gold has recently maintained a high level, and has formed a clear double-top pattern. Yesterday, it repeatedly fluctuated in the 4840-4790 range. Bullish momentum was clearly insufficient, and under sustained downward pressure it continued to trend lower. At the daily chart level, moving averages are suppressing downward pressure. The candlesticks have consecutively closed with upper wicks, and the signals of the bears reducing have become notably significant. Any rebounds are opportunities to look for shorts at higher levels.
Current key resistance above is concentrat
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ETH-0,88%
XAUT-0,79%
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Cryptocurrency Payment Infrastructure Funding Hits Record $1 Market Analysis
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Bitcoin Fear and Greed Index is 21. Extreme Fear
Current price: $74,964
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Why do I do quantitative trading?
To start with the conclusion: I’m not doing it because I lack skills; quite the opposite, my skills are decent, but I can’t match the discipline of quantitative methods.
1. Why do I do quantitative trading?
Five reasons: trend-following, 24/7 operation, freeing up hands, saying goodbye to emotions, and—my own manual trading profits aren’t bad, but compared to running a strategy quantitatively, I really can’t compete. Watching the market every day, fantasizing daily, funds remain stagnant. Isn’t entering the market just to make money? Earning passively is
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April 17, 2026 Spot Silver Morning Analysis
Spot silver broke through the 80 level yesterday and then faced resistance and pulled back, maintaining a high-level oscillation pattern, and retreated to around 78 in the evening for consolidation, which is a normal technical correction after this round of rally.
From the 4-hour timeframe, the MACD green bars continue to expand and form a death cross at high levels, the RSI indicator has fallen back from the overbought zone, and short-term upward momentum has clearly weakened, indicating a tendency toward a correction and recovery. The 77.5-75.9 zon
XAU-0,89%
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$PI Thanks to Lao 4, we can make fewer delivery orders.
PI2,16%
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GateUser-81e6952d:
Thanks, Lao Si. I will drive for Didi less in the future.
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The early morning cryptocurrency price surged but faced resistance, currently hovering around 75. Overall, the bearish trend is clear, and the intraday strategy is to continue shorting at high levels.
Bitcoin range 75,100-75,800 🈳, with a downside target of 74,000-72,000#GatePreIPOs首发SpaceX
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At the wedding scene, the mother-in-law's display is even more grand than the bride's!
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JUST IN: The CFTC has escalated its stance against fraud in prediction markets. Its chairman, Michael Selig, told lawmakers that the agency will use the full force of the law against abuses and insider trading.
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$BTC is still trading within the sideways market. MicroStrategy’s buying activity has a certain support effect. But I think there will be another round of sell pressure.
This is mainly because institutional selling performance has been clear enough over the past six months to refute the view some people hold that “once ETFs are available, there will be a long bull run.”
Institutions have been stockpiling coins since Q1 of 2024, roughly continuing until the end of Q2 of 2025.
With such a long coin stockpiling process and such a massive amount of coins accumulated, it won’t just clear the sell
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🕵️ Blackrock withdrew 3,899 $BTC ($289.88M) and 839 $ETH ($1.95M) from Coinbase. #crypto
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📊 Bitcoin Today 🔥 Long Plan for April 17, 2026
Aggressive Long (First-mover Trial)
Long Range: 74,600 – 75,000
Stop Loss: 74,100
Take Profit: 75,800 / 76,500
Logic:
The current price is in a high-level oscillation zone, prone to a "dip first, then rise" rhythm.
The core of the aggressive order is to participate early without missing out, using a small stop loss to test whether the market continues to support.
🧠 Steady Long (Lower entry after stop loss)
Long Range: 73,200 – 73,900
Stop Loss: 72,600
Take Profit: 75,000 / 76,000 (TP)
👉 Logic:
If the aggressive long is knocked out, it indicate
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ybaser:
good information about crypto market
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#bitcoin
Inverse boob vs boob
Pick your sides
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The past few years' decline in the U.S. stock market has a characteristic: most of the rebound has been V-shaped, rather than bottoming out for a long time with multiple tests or dips. This year’s March war, last April’s tariff battles, August 2024’s carry trade, etc. Essentially, these are localized negative shocks caused by news impacts when the fundamentals are sound. Once the news changes, the market quickly returns to the main growth trend.
Therefore, as long as the fundamentals of the U.S. stock market are sound, holding long-term is the top priority. Trying to do T+0 trading requires
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Yichen: Stop blindly bottom-fishing! The gold's weak downward trend is becoming clear
The four-hour chart price has already fallen below the mid-line support, operating below the moving averages, and the bullish structure has completely weakened. The three lines of KDJ continue to diverge at low levels, and the bearish momentum is steadily releasing, indicating that the short-term downward trend has taken shape.
Although the Middle East geopolitical situation still provides a safe-haven support, market risk aversion sentiment has been fully absorbed, and signs of funds taking profits and exiti
XAU-0,89%
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The empty space of 2360 is followed by eating meat
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#PI High-level V who lose through accumulated trading volume are big newbies; that’s basically just the big chive here. For example, there’s a “King of Chives” who kept losing all the way from V5, with no funds to trade, and then dropped to V1. The “Yellow Zhong Chive” lost down to V3, and is currently estimated to be heading to V4. I can tell you that, with my account, around V4 there will be about 50 or so in funds.
PI2,16%
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TheTopAnalystsOfWallStreet:
The best among men, King of the Hill ham sausage
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Er Bing Morning Analysis
Er Bing is currently rallying high but facing resistance and pulling back, with bullish rebound sentiment suppressed by key resistance levels. The overall strategy remains focused on short positions. The moving average system shows a downward alignment, indicating short-term bearish dominance.
Suggestion: Gradually buy within 2350-2370, watch around 2300 #加密市场回升 $ETH
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