Binance Square

whalederisketh

Talha Bin Khalid
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#whalederisketh A major **Ethereum whale (a large ETH holder) has begun a derisking move by unloading part of its position, selling significant amounts of ETH and transferring tokens to exchanges amid recent market volatility. On-chain data shows this whale, who had accumulated thousands of ETH earlier, saw unrealized profits turn into losses and started reducing exposure to limit further downside risk. Large whales reducing their holdings often signals cautious behavior as prices fluctuate, possibly influencing broader sentiment and short-term price trends. Such movements reflect how big investors strategically manage risk in response to changing market conditions. #WhaleDeRiskETH #TrendingTopic $ETH {spot}(ETHUSDT)
#whalederisketh
A major **Ethereum whale (a large ETH holder) has begun a derisking move by unloading part of its position, selling significant amounts of ETH and transferring tokens to exchanges amid recent market volatility. On-chain data shows this whale, who had accumulated thousands of ETH earlier, saw unrealized profits turn into losses and started reducing exposure to limit further downside risk. Large whales reducing their holdings often signals cautious behavior as prices fluctuate, possibly influencing broader sentiment and short-term price trends. Such movements reflect how big investors strategically manage risk in response to changing market conditions.
#WhaleDeRiskETH #TrendingTopic
$ETH
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Alcista
ANÁLISE QUE NINGUÉM ESTÁ VENDO – O MOVIMENTO ESCONDIDO DO MERCADO $BTC $ETH $BNB {spot}(BTCUSDT) O mercado parece lento, mas isso é só para quem olha o preço. A leitura real está na liquidez: BTC, ETH, BNB e SOL estão mostrando o mesmo padrão ao mesmo tempo, e isso nunca acontece por acaso. O Bitcoin está sendo absorvido em cada queda - não cai com violência, não perde estrutura e sempre encontra defesa. Isso é sinal claro de acumulação silenciosa, feita por mãos grandes que não querem chamar atenção. {spot}(ETHUSDT) O Ethereum entrou em compressão extrema. Quando a volatilidade some desse jeito, não é calmaria: é preparação. Toda vez que o ETH trava assim, vem expansão forte logo depois. O BNB está com defesas milimétricas, comportamento típico de algoritmo institucional. Nada fora do lugar, nada exagerado. É fundo ajustando posição com precisão. {spot}(SOLUSDT) A Solana está fazendo o padrão clássico de quem prepara movimento grande: rompe rápido, volta para a zona e puxa liquidez de quem se precipita. Isso não é indecisão - é engenharia de liquidez. E aqui está o ponto-chave: Todas as moedas estão fazendo o mesmo comportamento, na mesma janela do dia, com o mesmo estilo de fluxo. Isso não é coincidência. Isso é sincronização institucional. Quando várias moedas desaceleram juntas, secam a liquidez juntas e estreitam volatilidade juntas, significa que o mercado está sendo comprimido propositalmente. Não é manipulação barata -é rebalanceamento pesado antes do próximo movimento. O detalhe final, e que ninguém percebe: As ordens grandes estão sumindo exatamente quando deveriam aparecer. Isso mostra que quem controla o fluxo não quer empurrar o preço agora. Eles querem deixar o mercado “flutuar” até o ponto exato onde o próximo movimento será disparado. Quando o mercado fica silencioso demais, é porque algo grande está para acontecer!! anota essa dica.... #RiskAssetsMarketShock #USIranStandoff #WhaleDeRiskETH
ANÁLISE QUE NINGUÉM ESTÁ VENDO – O MOVIMENTO ESCONDIDO DO MERCADO
$BTC $ETH $BNB


O mercado parece lento, mas isso é só para quem olha o preço. A leitura real está na liquidez: BTC, ETH, BNB e SOL estão mostrando o mesmo padrão ao mesmo tempo, e isso nunca acontece por acaso.

O Bitcoin está sendo absorvido em cada queda - não cai com violência, não perde estrutura e sempre encontra defesa. Isso é sinal claro de acumulação silenciosa, feita por mãos grandes que não querem chamar atenção.


O Ethereum entrou em compressão extrema. Quando a volatilidade some desse jeito, não é calmaria: é preparação. Toda vez que o ETH trava assim, vem expansão forte logo depois.

O BNB está com defesas milimétricas, comportamento típico de algoritmo institucional. Nada fora do lugar, nada exagerado. É fundo ajustando posição com precisão.


A Solana está fazendo o padrão clássico de quem prepara movimento grande: rompe rápido, volta para a zona e puxa liquidez de quem se precipita. Isso não é indecisão - é engenharia de liquidez.
E aqui está o ponto-chave:
Todas as moedas estão fazendo o mesmo comportamento, na mesma janela do dia, com o mesmo estilo de fluxo.
Isso não é coincidência.
Isso é sincronização institucional.

Quando várias moedas desaceleram juntas, secam a liquidez juntas e estreitam volatilidade juntas, significa que o mercado está sendo comprimido propositalmente. Não é manipulação barata -é rebalanceamento pesado antes do próximo movimento.
O detalhe final, e que ninguém percebe:
As ordens grandes estão sumindo exatamente quando deveriam aparecer.
Isso mostra que quem controla o fluxo não quer empurrar o preço agora.
Eles querem deixar o mercado “flutuar” até o ponto exato onde o próximo movimento será disparado.
Quando o mercado fica silencioso demais, é porque algo grande está para acontecer!!
anota essa dica....
#RiskAssetsMarketShock #USIranStandoff #WhaleDeRiskETH
síriosKrelan-01:
Eu sou iniciante, ainda não investi em nenhuma criptomoeda,suas postagens me ajudam bastante a compreender como funcionam e qual o momento certo de investir.
$ETH broke above the $2,100 today. A daily close above this zone could push Ethereum towards the $2,400 level. In case ETH loses this level, another retest of this week's low could happen#WhaleDeRiskETH {spot}(ETHUSDT)
$ETH broke above the $2,100 today.

A daily close above this zone could push Ethereum towards the $2,400 level.

In case ETH loses this level, another retest of this week's low could happen#WhaleDeRiskETH
$BTC UPDATE The major dump looks finished. From here, we could see a long consolidation phase of 250+ days. Worst-case scenario: a final sweep toward the $45K–$55K zone. Why I believe this: After Trump’s election win, BTC pumped aggressively without a proper retest. On top of that, ETF demand pushed price up fast. Recently, ETFs have been selling BTC, which usually means they are preparing to rebuy at lower levels. This zone looks like a re-accumulation area, not distribution. I’m buying again here and will DCA on every major dip. Once this consolidation phase ends, we could finally see a real, organic altseason not the fake pumps we’ve been getting and missing. {future}(BTCUSDT) #MarketRally #BitcoinGoogleSearchesSurge #WhaleDeRiskETH #EthereumLayer2Rethink?
$BTC UPDATE
The major dump looks finished.

From here, we could see a long consolidation phase of 250+ days.
Worst-case scenario: a final sweep toward the $45K–$55K zone.

Why I believe this:
After Trump’s election win, BTC pumped aggressively without a proper retest. On top of that, ETF demand pushed price up fast. Recently, ETFs have been selling BTC, which usually means they are preparing to rebuy at lower levels.

This zone looks like a re-accumulation area, not distribution.
I’m buying again here and will DCA on every major dip. Once this consolidation phase ends, we could finally see a real, organic altseason not the fake pumps we’ve been getting and missing.
#MarketRally #BitcoinGoogleSearchesSurge #WhaleDeRiskETH #EthereumLayer2Rethink?
行情监控:
all in web3
BTC_Ranjith_T_R:
sell for now. buy any coins when BTC pump in between April - June/July till then let's go with Epsiten nakomoto 😴
🇧🇷🇦🇴🇨🇻🇵🇹🇲🇿 BRASIL 🇧🇷 ANGOLA 🇦🇴 CABO VERDE 🇨🇻 PORTUGAL 🇵🇹 MOÇAMBIQUE 🇲🇿 TENHA conhecimento da diferença entre criptomoeda $USDC E Uma moeda Fudiciária USD#WhaleDeRiskETH #BitcoinGoogleSearchesSurge
🇧🇷🇦🇴🇨🇻🇵🇹🇲🇿
BRASIL 🇧🇷
ANGOLA 🇦🇴
CABO VERDE 🇨🇻
PORTUGAL 🇵🇹
MOÇAMBIQUE 🇲🇿
TENHA conhecimento da diferença entre criptomoeda $USDC E Uma moeda Fudiciária USD#WhaleDeRiskETH #BitcoinGoogleSearchesSurge
قائمة الدول التي تفرض حظراً على العملات الرقمية مصنفة حسب نوع القيود 2026 :دول تفرض حظراً كاملاً (تجريم التداول والحيازة) .الصين .الجزائر .المغرب .مصر .افغانستان .نيبال .بنغلاديش .بوليفيا .مقدونيا الشمالية دول تفرض حظراً جزئياً (قيود بنكية ومؤسسية) .قطر .الكويت .باكستان .العراق .تونس .الاردن .اندونسيا $BTC $ETH $BNB #USIranStandoff #WhaleDeRiskETH #WhenWillBTCRebound #RiskAssetsMarketShock #WarshFedPolicyOutlook

قائمة الدول التي تفرض حظراً على العملات الرقمية مصنفة حسب نوع القيود 2026 :

دول تفرض حظراً كاملاً (تجريم التداول والحيازة)
.الصين
.الجزائر
.المغرب
.مصر
.افغانستان
.نيبال
.بنغلاديش
.بوليفيا
.مقدونيا الشمالية
دول تفرض حظراً جزئياً (قيود بنكية ومؤسسية)
.قطر
.الكويت
.باكستان
.العراق
.تونس
.الاردن
.اندونسيا
$BTC $ETH $BNB #USIranStandoff #WhaleDeRiskETH #WhenWillBTCRebound #RiskAssetsMarketShock #WarshFedPolicyOutlook
Feed-Creator-3cdbd5c99:
مو صحيح
🚀🧠 لماذا لم يعد وصول بيتكوين إلى 200 ألف دولار أمرًا مستبعدًا؟ عندما يقول CZ إن «وصول بيتكوين إلى 200,000 دولار هو الأمر الأكثر وضوحًا بالنسبة لي»، فهذا ليس تضخيمًا إعلاميًا… بل رؤية طويلة المدى. والحقيقة؟ كلما تعمّقت في فهم بيتكوين، أصبح تجاهل هذا المنطق أصعب بكثير. $BTC | $RESOLV | $DUSK 📊 لماذا هذا السيناريو منطقي؟ (التعليم أولًا) 📉 معروض بيتكوين محدود — بينما الطلب غير محدود 🏦 المؤسسات تدخل السوق ولا تغادره 🌍 عدم اليقين العالمي يدفع رؤوس الأموال نحو الأصول النادرة ⏳ كل دورة سوقية تكافئ الصبر لا العاطفة السعر لا يتحرك في خط مستقيم، لكن الاتجاه تحدده الأساسيات، لا الضجيج. 😌 الحقيقة النفسية للأسواق معظم المتداولين لا يفوّتون التحركات الكبيرة لأنهم مخطئون، بل لأنهم يخرجون مبكرًا، يفرطون في التداول، أو يسمحون للخوف بالسيطرة. 💡 الأرقام الكبيرة تبدو غير واقعية… إلى أن تتحقق. وهذا يتكرر دائمًا. 🧠 الخلاصة النهائية لمتداولي الكريبتو 🔐 القناعة يجب أن تكون مدعومة بإدارة مخاطر 📈 فكّر بالدورات، لا بالشموع 🎯 تمركز مبكرًا، وأدر نقاط الدخول بذكاء لست بحاجة لالتقاط كل حركة، بل تحتاج فقط إلى البقاء في السوق مدة كافية. 🚀📊 تداول بذكاء، وكن صبورًا. آمن بالهيكل… لا بالضجيج. #EthereumLayer2Rethink? #WhaleDeRiskETH #USIranStandoff #WhenWillBTCRebound #WarshFedPolicyOutlook
🚀🧠 لماذا لم يعد وصول بيتكوين إلى 200 ألف دولار أمرًا مستبعدًا؟

عندما يقول CZ إن
«وصول بيتكوين إلى 200,000 دولار هو الأمر الأكثر وضوحًا بالنسبة لي»،
فهذا ليس تضخيمًا إعلاميًا… بل رؤية طويلة المدى.
والحقيقة؟
كلما تعمّقت في فهم بيتكوين، أصبح تجاهل هذا المنطق أصعب بكثير.

$BTC | $RESOLV | $DUSK
📊 لماذا هذا السيناريو منطقي؟ (التعليم أولًا)
📉 معروض بيتكوين محدود — بينما الطلب غير محدود
🏦 المؤسسات تدخل السوق ولا تغادره
🌍 عدم اليقين العالمي يدفع رؤوس الأموال نحو الأصول النادرة

⏳ كل دورة سوقية تكافئ الصبر لا العاطفة
السعر لا يتحرك في خط مستقيم،
لكن الاتجاه تحدده الأساسيات، لا الضجيج.

😌 الحقيقة النفسية للأسواق
معظم المتداولين لا يفوّتون التحركات الكبيرة لأنهم مخطئون،
بل لأنهم يخرجون مبكرًا، يفرطون في التداول، أو يسمحون للخوف بالسيطرة.

💡 الأرقام الكبيرة تبدو غير واقعية…
إلى أن تتحقق.
وهذا يتكرر دائمًا.
🧠 الخلاصة النهائية لمتداولي الكريبتو
🔐 القناعة يجب أن تكون مدعومة بإدارة مخاطر

📈 فكّر بالدورات، لا بالشموع
🎯 تمركز مبكرًا، وأدر نقاط الدخول بذكاء
لست بحاجة لالتقاط كل حركة،
بل تحتاج فقط إلى البقاء في السوق مدة كافية.
🚀📊 تداول بذكاء، وكن صبورًا.
آمن بالهيكل… لا بالضجيج.
#EthereumLayer2Rethink? #WhaleDeRiskETH #USIranStandoff #WhenWillBTCRebound #WarshFedPolicyOutlook
行情监控:
长线布局,互粉交流
Fear Zone or Opportunity Zone? Ethereum in 2026“Risk management decides who stays in the game.” As the broader crypto market continues to navigate high volatility in early 2026, Ethereum (ETH) finds itself at a critical turning point. Recent technical patterns, shifting on-chain activity, and growing institutional involvement suggest that ETH is entering a phase where short-term risk and long-term opportunity coexist. Technical Outlook: Risk of Further Downside From a chart perspective, Ethereum is currently showing signs of weakness. Analysts have identified a potential inverse cup-and-handle formation, a pattern often associated with bearish continuation. If this structure confirms, ETH could struggle to maintain the $2,000 psychological support level. A sustained breakdown below this zone may open the door toward the $1,650–$1,700 range, implying a possible decline of nearly 25% from recent highs. This aligns with the broader market environment, where reduced liquidity and cautious sentiment continue to weigh on risk assets. However, traders should note that such corrective phases are common in long-term cycles and often precede periods of consolidation or recovery. On-Chain Strength: Stablecoin Activity Surges Despite price pressure, Ethereum’s network fundamentals remain strong. Following the Fusaka upgrade in December 2025, stablecoin activity on Ethereum has surged significantly. Key highlights include: Stablecoin transactions have tripled in recent monthsStablecoins now represent around 11% of total network activityDaily transactions regularly exceed 2 million, peaking near 2.9 million in January 2026 This growth reflects Ethereum’s expanding role as a settlement layer for digital payments, DeFi, and cross-border transfers. Increased stablecoin usage indicates rising real-world adoption, even during market downturns. In practical terms, while speculative interest may fluctuate, utility-driven demand continues to support Ethereum’s long-term relevance. Institutional Signal: BitMine’s ETH Accumulation Another major development is the aggressive accumulation by institutional players. BitMine’s recent purchase of 141,000 ETH, raising its total holdings to over 4.28 million ETH, highlights growing confidence among large investors. On-chain data confirms that accumulation has accelerated during recent price dips. Historically, such behavior suggests that long-term holders are positioning themselves during periods of market stress. This pattern often reflects a strategic view that current prices offer favorable risk-reward opportunities over multi-year horizons. Market Context: Balancing Fear and Fundamentals Ethereum’s current situation reflects a broader theme across crypto markets: short-term uncertainty versus long-term structural growth. On one side: Weak technical structureElevated macroeconomic riskReduced speculative appetite On the other: Rising transaction volumesExpanding stablecoin ecosystemInstitutional accumulation This divergence explains why ETH may continue to experience volatility in the near term while maintaining a solid foundation for future growth. What This Means for Traders and Investors For market participants, this phase requires discipline and adaptability. Key considerations include: Monitoring support near $2,000 and $1,700Watching stablecoin and network activity trendsTracking institutional wallet movementsAvoiding excessive leverage during uncertain conditionsPrioritizing capital preservation Short-term traders may focus on volatility and range setups, while long-term investors may view deeper corrections as potential accumulation zones. Future Outlook Looking ahead, Ethereum’s performance will largely depend on three factors: Global liquidity conditionsNetwork adoption through stablecoins and DeFiInstitutional participation If network usage continues to expand and macro conditions stabilize, ETH could gradually rebuild momentum. However, until technical resistance levels are reclaimed, price action is likely to remain cautious and reactive. Conclusion Ethereum is currently navigating a complex transition phase. While technical patterns suggest downside risk, strong on-chain activity and institutional accumulation point to long-term confidence in the ecosystem. For traders, this is a period where emotions must be managed carefully. For investors, it is a reminder that strong fundamentals often develop quietly during periods of uncertainty. In volatile markets, patience, data-driven analysis, and disciplined risk management remain the most valuable tools. ⚠️ Disclaimer (DYOR): This article reflects personal analysis for educational purposes only and does not constitute financial advice. Always conduct your own research and manage risk responsibly. #RiskAssetsMarketShock #WhaleDeRiskETH #EthereumLayer2Rethink? #BinanceSquareTalks $BTC {spot}(BTCUSDT) $ETH {spot}(ETHUSDT) $ASTER {future}(ASTERUSDT)

Fear Zone or Opportunity Zone? Ethereum in 2026

“Risk management decides who stays in the game.”
As the broader crypto market continues to navigate high volatility in early 2026, Ethereum (ETH) finds itself at a critical turning point. Recent technical patterns, shifting on-chain activity, and growing institutional involvement suggest that ETH is entering a phase where short-term risk and long-term opportunity coexist.
Technical Outlook: Risk of Further Downside
From a chart perspective, Ethereum is currently showing signs of weakness. Analysts have identified a potential inverse cup-and-handle formation, a pattern often associated with bearish continuation. If this structure confirms, ETH could struggle to maintain the $2,000 psychological support level.
A sustained breakdown below this zone may open the door toward the $1,650–$1,700 range, implying a possible decline of nearly 25% from recent highs. This aligns with the broader market environment, where reduced liquidity and cautious sentiment continue to weigh on risk assets.
However, traders should note that such corrective phases are common in long-term cycles and often precede periods of consolidation or recovery.
On-Chain Strength: Stablecoin Activity Surges
Despite price pressure, Ethereum’s network fundamentals remain strong. Following the Fusaka upgrade in December 2025, stablecoin activity on Ethereum has surged significantly.
Key highlights include:
Stablecoin transactions have tripled in recent monthsStablecoins now represent around 11% of total network activityDaily transactions regularly exceed 2 million, peaking near 2.9 million in January 2026
This growth reflects Ethereum’s expanding role as a settlement layer for digital payments, DeFi, and cross-border transfers. Increased stablecoin usage indicates rising real-world adoption, even during market downturns.
In practical terms, while speculative interest may fluctuate, utility-driven demand continues to support Ethereum’s long-term relevance.
Institutional Signal: BitMine’s ETH Accumulation
Another major development is the aggressive accumulation by institutional players. BitMine’s recent purchase of 141,000 ETH, raising its total holdings to over 4.28 million ETH, highlights growing confidence among large investors.
On-chain data confirms that accumulation has accelerated during recent price dips. Historically, such behavior suggests that long-term holders are positioning themselves during periods of market stress.
This pattern often reflects a strategic view that current prices offer favorable risk-reward opportunities over multi-year horizons.
Market Context: Balancing Fear and Fundamentals
Ethereum’s current situation reflects a broader theme across crypto markets: short-term uncertainty versus long-term structural growth.
On one side:
Weak technical structureElevated macroeconomic riskReduced speculative appetite
On the other:
Rising transaction volumesExpanding stablecoin ecosystemInstitutional accumulation
This divergence explains why ETH may continue to experience volatility in the near term while maintaining a solid foundation for future growth.
What This Means for Traders and Investors
For market participants, this phase requires discipline and adaptability.
Key considerations include:
Monitoring support near $2,000 and $1,700Watching stablecoin and network activity trendsTracking institutional wallet movementsAvoiding excessive leverage during uncertain conditionsPrioritizing capital preservation
Short-term traders may focus on volatility and range setups, while long-term investors may view deeper corrections as potential accumulation zones.
Future Outlook
Looking ahead, Ethereum’s performance will largely depend on three factors:
Global liquidity conditionsNetwork adoption through stablecoins and DeFiInstitutional participation
If network usage continues to expand and macro conditions stabilize, ETH could gradually rebuild momentum. However, until technical resistance levels are reclaimed, price action is likely to remain cautious and reactive.
Conclusion
Ethereum is currently navigating a complex transition phase. While technical patterns suggest downside risk, strong on-chain activity and institutional accumulation point to long-term confidence in the ecosystem.
For traders, this is a period where emotions must be managed carefully. For investors, it is a reminder that strong fundamentals often develop quietly during periods of uncertainty.
In volatile markets, patience, data-driven analysis, and disciplined risk management remain the most valuable tools.
⚠️ Disclaimer (DYOR):
This article reflects personal analysis for educational purposes only and does not constitute financial advice. Always conduct your own research and manage risk responsibly.
#RiskAssetsMarketShock #WhaleDeRiskETH #EthereumLayer2Rethink? #BinanceSquareTalks
$BTC
$ETH
$ASTER
BitHapp:
👌👌
Voici les principaux facteurs expliquant cette chute : * Correction technique et "Bullez" IA : Après avoir atteint des records (plus de 125 000 $ en octobre 2025), le Bitcoin a entamé une correction, souvent liée à l'effondrement des actions technologiques. * Incertitude politique américaine : Le projet de faire des États-Unis "la capitale des cryptomonnaies" s'affaiblit, notamment avec le refus du secrétaire au Trésor d'intervenir en cas de krach. *#MarketRally #BitcoinGoogleSearchesSurge #RiskAssetsMarketShock #WhaleDeRiskETH
Voici les principaux facteurs expliquant cette chute :
* Correction technique et "Bullez" IA : Après avoir atteint des records (plus de 125 000 $ en octobre 2025), le Bitcoin a entamé une correction, souvent liée à l'effondrement des actions technologiques.
* Incertitude politique américaine : Le projet de faire des États-Unis "la capitale des cryptomonnaies" s'affaiblit, notamment avec le refus du secrétaire au Trésor d'intervenir en cas de krach.
*#MarketRally #BitcoinGoogleSearchesSurge #RiskAssetsMarketShock #WhaleDeRiskETH
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Зеленский выступил с резким заявлением о ДонбассеЧто думайте какое решение будет правильный и справедливый для окончания войны?👇🏼👇🏼👇🏼 Позиция Киева в отношении вывода войск из Донбасса после переговоров в Абу-Даби не изменилась, заявил Владимир Зеленский. "Россия хочет нашего выхода из Донбасса, а мы говорили, что наиболее надежная позиция для прекращения огня "стоим, где стоим", — приводит его слова издание Страна.ua в своем Telegram-канале. Зеленский утверждает, что американская сторона предлагает компромиссный вариант и подтвердил, что стороны этот вопрос обсуждали. В Абу-Даби в среду и четверг состоялся второй раунд переговоров по Украине с участием делегаций России, США и Украины. Первый раунд прошел там же 23-24 января. Переговоры проходили в закрытом формате, без прессы. Пресс-секретарь президента Дмитрий Песковотметил, что работа, которая проходила в рамках консультаций в ОАЭ по урегулированию конфликта на Украине, продолжится. Российский президент Владимир Путинеще задолго до переговоров в Абу-Даби, в 2024 году заявлял, что жители ДНР, ЛНР, Херсонской и Запорожской областейвошли в состав России, и этот вопрос "навсегда закрыт и больше не обсуждается". В свою очередь, пресс-секретарь главы государства Дмитрий Песков в конце января 2025 года заявлял, что ВСУ должны покинуть территорию Донбасса, это является важным условием Москвы. #USIranStandoff #MarketRally #WhenWillBTCRebound #WhenWillBTCRebound #WhaleDeRiskETH $XRP {future}(XRPUSDT) $TRX {future}(TRXUSDT) $BNB {future}(BNBUSDT)

Зеленский выступил с резким заявлением о Донбассе

Что думайте какое решение будет правильный и справедливый для окончания войны?👇🏼👇🏼👇🏼
Позиция Киева в отношении вывода войск из Донбасса после переговоров в Абу-Даби не изменилась, заявил Владимир Зеленский.
"Россия хочет нашего выхода из Донбасса, а мы говорили, что наиболее надежная позиция для прекращения огня "стоим, где стоим", — приводит его слова издание Страна.ua в своем Telegram-канале.
Зеленский утверждает, что американская сторона предлагает компромиссный вариант и подтвердил, что стороны этот вопрос обсуждали.
В Абу-Даби в среду и четверг состоялся второй раунд переговоров по Украине с участием делегаций России, США и Украины. Первый раунд прошел там же 23-24 января. Переговоры проходили в закрытом формате, без прессы. Пресс-секретарь президента Дмитрий Песковотметил, что работа, которая проходила в рамках консультаций в ОАЭ по урегулированию конфликта на Украине, продолжится.
Российский президент Владимир Путинеще задолго до переговоров в Абу-Даби, в 2024 году заявлял, что жители ДНР, ЛНР, Херсонской и Запорожской областейвошли в состав России, и этот вопрос "навсегда закрыт и больше не обсуждается". В свою очередь, пресс-секретарь главы государства Дмитрий Песков в конце января 2025 года заявлял, что ВСУ должны покинуть территорию Донбасса, это является важным условием Москвы.
#USIranStandoff #MarketRally #WhenWillBTCRebound #WhenWillBTCRebound #WhaleDeRiskETH $XRP
$TRX
$BNB
sama dobrota:
лучше быть с гейропы,чем халопом плешивой моли и едросовского ОПГ, для таких как вы нет срока давности.
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SOLANA EXPLOSION IMMINENT: THE RECOVERY PLAY The market just threw a massive shakeout, but the real ones know this is where the money is made. $SOL is currently stabilizing at $87.46 after a violent flush to the $67–$73 demand zone. While the "tourists" are panic selling, institutional flow remains strong Solana was the only major altcoin with net inflows during the late January dip, pulling in over $92 million. We are now seeing a "V-reversal" attempt from the lows, fueled by a record $6.37 billion USDT exchange inflow that provides the liquidity for a massive move back up. The chart is coiling for a relief rally toward the psychological $100 mark. As long as we hold the critical $80–$85 support, the bias is shifting from bearish to "uptrend continuation". * Entry Zone: 86.50 – 88.20 * Target 1: 93.00 * Target 2: 102.00 * Stop Loss: 81.50 Seasonality is our tailwind; February is historically one of Solana's best months, with average returns of 38%. With active addresses hitting 27 million and the Alpenglow upgrade rolling out, the fundamental utility is finally ready to match the price expansion. Don’t let the short-term noise blind you to the generational re-accumulation happening right now. DYOR. #SOL #Solana @rmj_trades #USIranStandoff #WhaleDeRiskETH #ADPWatch
SOLANA EXPLOSION IMMINENT: THE RECOVERY PLAY

The market just threw a massive shakeout, but the real ones know this is where the money is made. $SOL is currently stabilizing at $87.46 after a violent flush to the $67–$73 demand zone. While the "tourists" are panic selling, institutional flow remains strong Solana was the only major altcoin with net inflows during the late January dip, pulling in over $92 million. We are now seeing a "V-reversal" attempt from the lows, fueled by a record $6.37 billion USDT exchange inflow that provides the liquidity for a massive move back up.

The chart is coiling for a relief rally toward the psychological $100 mark. As long as we hold the critical $80–$85 support, the bias is shifting from bearish to "uptrend continuation".

* Entry Zone: 86.50 – 88.20

* Target 1: 93.00

* Target 2: 102.00

* Stop Loss: 81.50

Seasonality is our tailwind; February is historically one of Solana's best months, with average returns of 38%. With active addresses hitting 27 million and the Alpenglow upgrade rolling out, the fundamental utility is finally ready to match the price expansion. Don’t let the short-term noise blind you to the generational re-accumulation happening right now.
DYOR.

#SOL
#Solana
@R M J
#USIranStandoff
#WhaleDeRiskETH
#ADPWatch
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Bajista
Ethereum Daily Market Update - Feb. 08, 2026 ‎ ‎Ethereum is currently in a short-term recovery phase after a sharp sell-off, but the market is still fragile and highly level-dependent. Price dropped aggressively toward the 1,740 area, where strong buying interest appeared and pushed ETH back above 2,000. That reaction confirmed the presence of demand at lower levels and stopped the immediate downside continuation. ‎ ‎After the rebound, ETH moved up toward 2,120–2,125, but failed to hold above that zone and pulled back again. The current price action around 2,060–2,080 shows consolidation rather than weakness. This tells us the market is digesting the recent move, not reversing it yet. Buyers are still defending, but momentum has slowed compared to the initial bounce. ‎ ‎From a higher-timeframe perspective, the broader structure remains damaged. ETH is still trading well below previous value areas and major breakdown zones. Because of this, the current move should be treated as a recovery inside a larger downtrend, not a confirmed trend reversal. That makes level selection and patience critical. ‎ ‎Key support zones: ‎2,000 – 1,980 (most important intraday support) ‎1,900 – 1,920 (stronger support from the rebound base) ‎Holding above 2,000 keeps the recovery structure intact. A clean loss and acceptance below 1,980 would weaken the bounce and reopen downside risk. ‎Key resistance zones: ‎2,120 – 2,150 (near-term resistance) ‎2,180 – 2,230 (stronger resistance and prior breakdown area) ‎ ‎My suggestion: ‎I am not looking for shorts while ETH holds above 2,000. The market has already shown buyers defending this area. The correct approach today is to wait for pullbacks into support for controlled longs, rather than chasing price higher. If ETH fails to hold 1,980, I would step aside and reassess. Until then, ETH remains in a controlled recovery phase, where patience and level-based decisions matter most. #WhaleDeRiskETH #EthereumLayer2Rethink? Trade #ETH Here 👇👇👇 {future}(ETHUSDT)
Ethereum Daily Market Update - Feb. 08, 2026

‎Ethereum is currently in a short-term recovery phase after a sharp sell-off, but the market is still fragile and highly level-dependent. Price dropped aggressively toward the 1,740 area, where strong buying interest appeared and pushed ETH back above 2,000. That reaction confirmed the presence of demand at lower levels and stopped the immediate downside continuation.

‎After the rebound, ETH moved up toward 2,120–2,125, but failed to hold above that zone and pulled back again. The current price action around 2,060–2,080 shows consolidation rather than weakness. This tells us the market is digesting the recent move, not reversing it yet. Buyers are still defending, but momentum has slowed compared to the initial bounce.

‎From a higher-timeframe perspective, the broader structure remains damaged. ETH is still trading well below previous value areas and major breakdown zones. Because of this, the current move should be treated as a recovery inside a larger downtrend, not a confirmed trend reversal. That makes level selection and patience critical.

‎Key support zones:
‎2,000 – 1,980 (most important intraday support)
‎1,900 – 1,920 (stronger support from the rebound base)
‎Holding above 2,000 keeps the recovery structure intact. A clean loss and acceptance below 1,980 would weaken the bounce and reopen downside risk.
‎Key resistance zones:
‎2,120 – 2,150 (near-term resistance)
‎2,180 – 2,230 (stronger resistance and prior breakdown area)

‎My suggestion:
‎I am not looking for shorts while ETH holds above 2,000. The market has already shown buyers defending this area. The correct approach today is to wait for pullbacks into support for controlled longs, rather than chasing price higher. If ETH fails to hold 1,980, I would step aside and reassess. Until then, ETH remains in a controlled recovery phase, where patience and level-based decisions matter most.
#WhaleDeRiskETH #EthereumLayer2Rethink?
Trade #ETH Here 👇👇👇
紫霞行情监控:
抄底的机会来了
You won’t believe how much this guy just made scalping $ETH on the 1s chart while some market maker’s grid strategy blew up yesterday 🤣 +$50K locked in * Scalping involves rapid trades for small gains. They exploited a market maker's grid strategy failing—likely an automated bot placing buy/sell orders at fixed intervals that got overwhelmed by price swings, leading to losses for the bot and gains for the trader. {future}(ETHUSDT) #WhaleDeRiskETH #MarketRally
You won’t believe how much this guy just made scalping $ETH on the 1s chart while some market maker’s grid strategy blew up yesterday 🤣

+$50K locked in

* Scalping involves rapid trades for small gains. They exploited a market maker's grid strategy failing—likely an automated bot placing buy/sell orders at fixed intervals that got overwhelmed by price swings, leading to losses for the bot and gains for the trader.
#WhaleDeRiskETH #MarketRally
Elmer Cantey Glhj:
📉 Коли грід не встиг адаптуватися — ручний скальпінг забрав рух. Урок ринку: не швидкість бота вирішує все — а швидкість реакції.
O RELÓGIO OCULTO DO MERCADO!! $BTC $ETH $BNB {spot}(BTCUSDT) - 05h–09h (Europa acordando) aquele frio gostoso! • Mercado começa a ganhar liquidez. • Londres abre e ativa os primeiros movimentos reais. • Muitas vezes é aqui que o preço “sinaliza” a direção do dia. • Quem opera cedo já pega o mercado mostrando intenção. - 10h–13h (EUA respirando o dia) • Horário mais importante para o BTC/ETH/BNB. • Volatilidade aumenta. • Boa parte das armadilhas do mercado nasce aqui. • Muita liquidez sendo buscada ao redor dos principais níveis. - 14h–18h (Wall Street dominando) • Este é o período que separa iniciante de trader real. • Aqui sai dado econômico, decisão de banco, fluxo institucional. • Se houver reversão no dia, normalmente nasce aqui. • Se houver continuação, ela se confirma aqui. • É o horário que mais entrega movimentos claros. - 18h–22h (Ásia entrando no jogo) {spot}(BNBUSDT) • Mercado fica técnico. • Tendências ficam mais limpas, menos ruído. • Ideal para quem gosta de leitura de vela + estrutura. - 23h–04h (Liquidez mais baixa do mundo. • Onde acontecem os maiores enganos. • Pump falso, dump seco, busca de liquidez curta. • Qualquer ordem grande mexe no preço. • É o horário que mais assusta iniciante e mais enriquece quem entende fluxo. - O SEGREDO QUE NINGUÉM CONTA Não é sobre saber o que vai acontecer. É sobre saber quem está operando agora. O iniciante olha o preço. O experiente olha o volume. O profissional olha o momento. Mas quem realmente vence… olha intenção. Quando você entende os horários, você para de se assustar com vela… e começa a entender o motivo da vela. E é aí que sua evolução começa de verdade! #USIranStandoff #RiskAssetsMarketShock #WarshFedPolicyOutlook #WhaleDeRiskETH
O RELÓGIO OCULTO DO MERCADO!!
$BTC $ETH $BNB

- 05h–09h (Europa acordando) aquele frio gostoso!
• Mercado começa a ganhar liquidez.
• Londres abre e ativa os primeiros movimentos reais.
• Muitas vezes é aqui que o preço “sinaliza” a direção do dia.
• Quem opera cedo já pega o mercado mostrando intenção.

- 10h–13h (EUA respirando o dia)
• Horário mais importante para o BTC/ETH/BNB.
• Volatilidade aumenta.
• Boa parte das armadilhas do mercado nasce aqui.
• Muita liquidez sendo buscada ao redor dos principais níveis.

- 14h–18h (Wall Street dominando)
• Este é o período que separa iniciante de trader real.
• Aqui sai dado econômico, decisão de banco, fluxo institucional.
• Se houver reversão no dia, normalmente nasce aqui.
• Se houver continuação, ela se confirma aqui.
• É o horário que mais entrega movimentos claros.
- 18h–22h (Ásia entrando no jogo)


• Mercado fica técnico.
• Tendências ficam mais limpas, menos ruído.
• Ideal para quem gosta de leitura de vela + estrutura.

- 23h–04h (Liquidez mais baixa do mundo.
• Onde acontecem os maiores enganos.
• Pump falso, dump seco, busca de liquidez curta.
• Qualquer ordem grande mexe no preço.
• É o horário que mais assusta iniciante e mais enriquece quem entende fluxo.
- O SEGREDO QUE NINGUÉM CONTA
Não é sobre saber o que vai acontecer.
É sobre saber quem está operando agora.
O iniciante olha o preço.
O experiente olha o volume.
O profissional olha o momento.
Mas quem realmente vence…
olha intenção.

Quando você entende os horários, você para de se assustar com vela…

e começa a entender o motivo da vela.
E é aí que sua evolução começa de verdade!

#USIranStandoff #RiskAssetsMarketShock #WarshFedPolicyOutlook #WhaleDeRiskETH
Binance BiBi:
Olá! Que ótima análise sobre o comportamento do mercado em diferentes horários. Você abordou um ponto muito importante! Busquei aqui e, de fato, o conceito de que as sessões de negociação da Europa, EUA e Ásia influenciam a liquidez e a volatilidade do mercado cripto é amplamente discutido por traders experientes. Entender quem está operando pode mesmo ajudar a interpretar os movimentos do mercado. Continue com os insights! Lembre-se sempre de fazer sua própria pesquisa (DYOR).
$DUSK /USDT is still showing strong bullish structure after the explosive move from the 0.08 base to 0.143. That push came with heavy volume and clear momentum. Now price is pulling back and stabilizing above the breakout zone, which is a healthy sign. As long as $DUSK holds above this support, this looks like continuation after consolidation, not a top. Trade Setup Entry: 0.128 – 0.133 Target 1: 0.140 Target 2: 0.155 Target 3: 0.170 Stop Loss: 0.120 No chasing here. Let price respect support and let the trend reward patience. #WhaleDeRiskETH #USIranStandoff #BitcoinGoogleSearchesSurge #RiskAssetsMarketShock {spot}(DUSKUSDT)
$DUSK /USDT is still showing strong bullish structure after the explosive move from the 0.08 base to 0.143. That push came with heavy volume and clear momentum. Now price is pulling back and stabilizing above the breakout zone, which is a healthy sign. As long as $DUSK holds above this support, this looks like continuation after consolidation, not a top.

Trade Setup
Entry: 0.128 – 0.133
Target 1: 0.140
Target 2: 0.155
Target 3: 0.170
Stop Loss: 0.120

No chasing here. Let price respect support and let the trend reward patience.

#WhaleDeRiskETH #USIranStandoff #BitcoinGoogleSearchesSurge #RiskAssetsMarketShock
Guys stop everything and focus here. $LTC /USDT is moving inside a clear range after rejecting near 56 and sweeping liquidity down toward the 53.3 area. That sharp drop was quickly bought back, which tells you sellers failed to keep control. Price is now stabilizing again above the short-term support zone, and as long as this recovery holds, the structure favors a bounce rather than a breakdown. Trade Setup Entry: 54.40 – 54.90 Target 1: 55.60 Target 2: 56.20 Target 3: 57.00 Stop Loss: 53.70 This is not a chase zone. Let the level confirm support and then follow the reaction. {spot}(LTCUSDT) #WhaleDeRiskETH #EthereumLayer2Rethink? #ADPWatch
Guys stop everything and focus here.

$LTC /USDT is moving inside a clear range after rejecting near 56 and sweeping liquidity down toward the 53.3 area. That sharp drop was quickly bought back, which tells you sellers failed to keep control. Price is now stabilizing again above the short-term support zone, and as long as this recovery holds, the structure favors a bounce rather than a breakdown.

Trade Setup
Entry: 54.40 – 54.90
Target 1: 55.60
Target 2: 56.20
Target 3: 57.00
Stop Loss: 53.70

This is not a chase zone. Let the level confirm support and then follow the reaction.
#WhaleDeRiskETH #EthereumLayer2Rethink? #ADPWatch
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