I need to talk about something that's been keeping me up at night, and honestly, it should concern every single person holding cryptocurrency right now.
Just recently, one of South Korea's biggest crypto exchanges got hit—hard. We're talking about Upbit losing approximately ₩44.5 billion Korean won, which translates to roughly $36 million USD. But here's the thing that makes my stomach turn: this wasn't just any random attack. The cybersecurity experts are pointing fingers at the Lazarus Group again—yes, the same hackers who managed to steal Ethereum from Upbit back in 2019.
Breaking Down What Actually Happened Let me walk you through this step by step, because understanding how these attacks work is crucial for protecting yourself. The hackers specifically targeted Upbit's Solana hot wallet. For those who might not know, a hot wallet is basically a cryptocurrency wallet that stays connected to the internet—convenient for quick transactions, but also more vulnerable to attacks. The thieves didn't just grab Solana tokens; they drained multiple tokens from across the entire Solana ecosystem. What makes this particularly scary is the sophisticated method they used afterward. Security researchers discovered they employed something called "hopping and mixing" techniques. Imagine trying to follow someone who keeps jumping between different cars, changing disguises, and taking random detours—that's essentially what these hackers did with the stolen funds to make tracking nearly impossible. The Lazarus Connection: A Pattern We Can't Ignore Here's where things get really troubling. The Lazarus Group isn't some small-time operation. These are the same sophisticated actors who've been linked to numerous high-profile cryptocurrency thefts over the years. Their fingerprints were all over Upbit's 2019 Ethereum theft, and now experts believe they've struck again. This isn't coincidence—it's a pattern. And patterns tell us something important: if it happened before, and it's happening again, what makes us think it won't happen in the future?
The Question Everyone's Avoiding: Where Is Your Crypto Actually Safe?
This brings me to the uncomfortable question that's been circulating in every crypto community I'm part of: Do you feel safer keeping your assets on a centralized exchange or in self-custody? I know what the traditional advice says. "Not your keys, not your crypto." It's been repeated so many times it's practically a mantra. And there's absolute truth to it—when your cryptocurrency sits on an exchange, you're essentially trusting that platform to protect your assets. But here's the real talk: self-custody comes with its own risks too. Lost seed phrases, phishing attacks, hardware wallet failures—I've seen people lose everything because of one simple mistake. What This Hack Teaches Us About Digital Asset Security Every single hack that happens in the crypto space serves as a brutal reminder of one fundamental truth: if your assets aren't in your direct control, you're relying on someone else's security measures to protect your investment. Think about it this way. When your money sits in an exchange's wallet, you're trusting:
Their security infrastructureTheir employee screening processesTheir response protocols during emergenciesTheir insurance policies (if they even have adequate coverage)
That's a lot of trust to place in any organization, no matter how reputable they seem. So What Should You Actually Do?
I'm not here to tell you there's one perfect solution, because honestly, there isn't. But I can share what's helped me sleep better at night: Diversify your security strategy. Don't keep all your crypto in one place—whether that's an exchange or a single wallet. Think of it like not keeping all your cash under one mattress. If you're using exchanges, choose ones with proven track records, strong security measures, and insurance coverage. But never store more there than you're prepared to potentially lose. If you're going the self-custody route, invest time in learning proper security practices. Use hardware wallets, store your seed phrases securely (and I mean REALLY securely—not on your phone or computer), and consider multi-signature setups for larger amounts. Stay informed. Hacks like this Upbit incident aren't just news stories—they're education opportunities. Understanding how attacks happen helps you avoid becoming the next victim. The Bigger Picture We Need to Face The cryptocurrency world keeps promising us financial freedom and independence from traditional banking systems. And in many ways, it delivers on that promise. But with that freedom comes responsibility—responsibility for your own security that many of us weren't prepared for. The Upbit hack isn't just about one exchange losing money. It's about understanding that in this digital frontier, threats are real, sophisticated, and constantly evolving. The Lazarus Group and other cybercriminal organizations are getting smarter, more coordinated, and more aggressive. Your Security Is Your Responsibility Here's my final thought: whether you decide to trust a centralized exchange or take the self-custody path, make it an informed decision. Don't just follow what everyone else is doing or what sounds easiest. This $36 million hack should serve as your personal wake-up call. Review where your crypto currently lives. Ask yourself if you're comfortable with the level of risk you're taking. And most importantly, have a plan for what you'd do if the platform you trust suddenly became the next headline. The truth is, in the world of cryptocurrency, absolute safety doesn't exist. But informed, cautious, and strategic security practices can make all the difference between protecting your investment and watching it vanish in someone else's security breach. Stay safe out there, and remember—every hack is a lesson if we're willing to learn from it.
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Kalian Harus Cek Sekarang!
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🚨 The Most Dangerous Hacker You've Never Heard Of: Park Jin Hyok 🚨
A silent mastermind lurking in the shadows, Park Jin Hyok has left a trail of destruction across the digital world. A core member of North Korea’s Lazarus Group, his cyber heists have reshaped financial security forever.
🎭 Sony Pictures Hack (2014) – A brutal breach that exposed secrets and sent shockwaves through Hollywood. 💰 Bangladesh Central Bank (2016) – $81 million vanished in an instant, stolen through a sophisticated SWIFT attack. 🦠 WannaCry Ransomware (2017) – Chaos unleashed worldwide, hospitals and businesses crippled, over $140K in ransom collected. 💸 Bybit Hack (2025) – A jaw-dropping $1.46 billion drained from the exchange, setting a new record in crypto crime.
Every move is precise. Every attack is devastating. The world’s financial systems tremble at the mere mention of his name. And yet, he remains a ghost—unseen, untouchable.
A group of specially trained hackers committing various cyber frauds worldwide.
Their total stolen amount is $3 billion.
Yesterday, they stole $1.5 billion more from @Bybit_Official.
Here’s the full story of how they did it and why you CAN'T be safe too 👇
The Lazarus Group has been behind many major cyberattacks. Worldwide, they are linked to thefts totaling around $3 billion. It's believed that the stolen money helps fund North Korea's military and nuclear projects. But let's go back to the beginning...
Lazarus, a hacking collective endorsed by North Korea, has executed cyber raids on banks, cryptocurrency exchanges, and DeFi platforms, amassing billions. Recently, they've achieved the largest crypto theft ever recorded. Let's delve into the details.
There was no code breach yesterday.
Private keys remained secure. Transactions received approval from Bybit's own multisig custodians. They believed it was just a standard transfer. Without knowing it, they handed over their entire cold wallet to hackers...
But that raises a terrifying question: How did #Lazarus know exactly whom to target? A multisig wallet requires multiple signers. If even one refused to sign, the hack would fail. But they all signed. This means Lazarus didn’t just hack Bybit... They knew whom to manipulate.
Gaining access to this type of data is limited to a few tactics:
• Insider leak: An individual disclosed the list of signers.
• Manipulative tactics: Lazarus analyzed their communication and habits.
• System breach: Malware infiltrated one or more signer devices.
This suggests that other exchanges could face similar threats.
Yesterday, Lazarus stole nearly 0.5% of all #Ethereum This means they now possess: 1. More than Fidelity. 2. More than Vitalik Buterin. 3. And even more than the Ethereum Foundation. However, laundering that much $ETH undetected is no simple task...
Could they repeat these strategies? Indeed, they did.
Detectives quickly found the 53 wallets holding the stolen ETH. Any attempt to sell or trade these assets would immediately set off alerts. However, Lazarus appears unconcerned about time.
In 2022, Chainalysis discovered that Lazarus was still holding onto $55 million from hacks dating back six years.
They play the long game, biding their time. Victims never recover their funds. Not a single case. Lazarus is not in the business of bargaining or refunding. So, what's the fate of the users?
Ben Zhou, the CEO of Bybit, publicly addressed the issue: ➬ "We ensure a 1:1 backing for client funds." ➬ "Our liquidity is sufficient to handle all withdrawals." ➬ "The security of all other wallets is intact." Up to now, there has been no mass withdrawal.
Such events have occurred before and are bound to happen again. Want to protect yourself? Here are some straightforward tips 👇
By the way, in the end I want to say this:
Those who watched the Bybit CEO's livestream yesterday immediately noticed the amazing composure and calm of a man who had just lost $1.5B.
A few hours later, Ben transferred $3B in one transaction, writing about it on Twitter at the same time.
He seems to have no nerves at all.
I've read many posts on the topic that described it as a master class. Industry leaders agree that Bybit demonstrated the best crisis response the crypto market has ever seen.
Bybit did not limit the withdrawal of funds, although many, including #CZ , suggested temporarily taking such a measure. Today, CZ writes that "Ben did a great job".
The largest hack in the history of crypto did not collapse the market.
I'm Bullish!
If you found this Article helpful, don't forget to:
I lost 90% of my net worth because I was stupid and didn't take profits
In my first bull run, I lost 90% of my net worth because I was stupid and didn't take profits...
Many can tell you when to buy, but nobody says when to sell.
I spent months studying how to sell crypto at its ATH.
Here's my ultimate strategy 👇🧵
Every crypto bull run tends to follow the same pattern: 99% of people either lose everything or simply leave the market at break-even.
This happens because the crypto market is a prime example of human emotions at play, driven by FEAR, GREED, and our "dear" friend called FOMO.
While predicting every crypto move with precision is impossible, having a solid understanding of market structure and some rules can help you secure profits and close positions at the best possible times.
Today, we will delve into the following topics:
👉Market cycle model
👉When to sell BTC/ETH/altcoins/memes
👉Important rules to keep in mind
How Market Cycles Work:
The price of BTC, like any other asset, moves following specific patterns.
This cycle repeats due to human emotions, particularly FOMO.
The diagram below illustrates the emotions traders go through at different time intervals.
While minor variations may occur with each token, the underlying emotions remain consistent.
It's crucial to recognize when alts are starting to really skyrocketing.
During a bullish phase for altcoins, you could potentially earn 100x times more than with BTC or ETH, as they have the potential to yield not just 2x but up to a 1000x return.
You may know how things work in the market and in this world, but if you don't have a system and you can't manage your emotions...
You will get rekt!
Check out my list of rules that help me sell close to ATH and make consistent profits:
① ➬ Think of market profits as your paycheck, not as a lottery win.
Respect your money.
Don't treat it like you're in Las Vegas or some strip club where you can throw money around left and right.
There are no get-rich-quick schemes in this world.
Only slow and steady wins the race.
② ➬ Buy on expectations, sell on the news.
Don't be the person who shows up after the party's over.
When news breaks, it's time to sell, not buy.
By buying late, you're just feeding those who got in early and are now laughing in their new Lambos.
③ ➬ Would you buy a token from your portfolio right now if you weren't already holding it?
As humans, we don't like losses or realizing we've made poor investments, even when they're truly bad.
We often come up with countless justifications for why we're holding onto particular tokens.
You might be astonished by the amount of sh*t assets in your portfolio if you simply pose this question to yourself.
✪ ➬ BONUS
To hit the real jackpot, consider these factors when analyzing a promising token:
· What is the upside potential? (compare the token with others in the sector)
· Who are the big holders and top VCs involved?
· What is the roadmap, partnerships, team, etc?
· Are there upcoming listings on CEXs for the token? (listings usually lead to liquidity and price increases, especially upon announcement)
Thank you for reading this article, so please like and follow if you found it helpful
A Recession Is Almost Guaranteed for Europe After Trump Returns to the White House
Trump’s back in the White House, and European leaders are anything but thrilled. He beat Kamala Harris, leaving EU officials with a lingering sense of dread.
After watching him disrupt international relations and slap tariffs on European goods in his first term, they know what to expect: more economic warfare. They’ve been planning for this for over a year, but now that it’s real, they’re scrambling.
EU leaders scurry to shield Europe from tariffs
The day after the election results, European diplomats and leaders woke up with a shared anxiety. “I am seeing it, [and] not wanting to believe,” one anonymous EU official said. Another diplomat added, “It is not great, again.” But there was no shock this time, just reluctant acceptance.
They’ve seen Trump’s playbook before, and they know it won’t be kind to Europe. The United States and the EU share the world’s largest bilateral trade relationship. In 2021, their trade and investment exchange topped 1.2 trillion euros ($1.29 trillion), a very important economic connection for Europe.
But Trump’s “America First” stance has always pushed for more American goods in European markets, and he’s ready to make the EU “pay a big price” for not stepping up. He’s proposed a fresh 10% tariff on European imports, which would hammer industries across the continent.
For Germany, this is a serious threat. German automakers rely heavily on exports to the U.S., and Trump’s tariffs could devastate an already fragile industry. In a recent report, ING analysts called Trump’s win Europe’s “worst economic nightmare.”
“A looming new trade war could push the euro zone economy from sluggish growth into a full-blown recession,” they said. Economic growth across the EU is already slow, and adding new trade barriers would be catastrophic.
European leaders aren’t waiting for things to unravel. They’re meeting Thursday and Friday in Budapest to hash out their response. President of the European Commission Ursula von der Leyen, French President Emmanuel Macron, Spanish Prime Minister Pedro Sanchez, and Italian Prime Minister Giorgia Meloni are all expected to attend.
For most, this isn’t a celebration, but an urgent planning session. The mood in Brussels is tense, as leaders focus on keeping the EU economy stable. Hungary’s Prime Minister Viktor Orban is the outlier, though. A long-time Trump fan, Orban hinted he’d be popping open champagne to celebrate. But for the rest of Europe, it’s damage control time.
“There will be a first discussion [on the outcome of the U.S. election] in Budapest,” a third EU source confirmed. They’ll talk trade, but Trump’s comeback raises another big issue for Europe: security.
Ukraine in limbo, NATO’s future in question
One of Trump’s biggest promises during the election was to cut U.S. military aid to Ukraine, and this has European capitals on edge. Without American support, Ukraine’s position against Russian aggression would weaken significantly.
European officials know they don’t have the resources to replace the billions in military aid Ukraine currently gets from the U.S. Losing that support could push Ukraine into a disadvantageous peace settlement with Russia—a win for Putin and a nightmare for Europe.
French President Emmanuel Macron and German Chancellor Olaf Scholz are preparing to make a stand, calling for “a more united, stronger, more sovereign Europe.” They’re doubling down on a shared defense strategy and pushing NATO to reinforce European security.
The stakes are high, and NATO leaders know it. The alliance, long a key piece of Europe’s defense, depends heavily on American involvement, and Trump’s return has revived fears of a fractured NATO.
NATO Secretary-General Mark Rutte, who previously served as Dutch prime minister, said he was ready to work with Trump, but he didn’t hide the alliance’s concerns. “NATO helps advance U.S. interests, multiplies American power, and keeps Americans safe,” he reminded Trump, subtly signaling that NATO isn’t just a European security blanket.
Germany’s transatlantic coordinator, Michael Link, shares these concerns, warning that Europe can’t sit back and wait for Trump’s next move. “We have to make clear what we expect of the U.S., that it must fulfill its NATO obligations,” Link said on German radio. The big fear here is a disengaged America, with a more aggressive Russia and an emboldened China.
EU faces tough choices
“Our big focus is to keep the European unity,” said a third diplomat who spoke about the upcoming EU discussions. ING analysts put it bluntly: the combination of tariffs and dwindling U.S. military support for Ukraine is Europe’s worst-case scenario.
German Finance Minister Christian Lindner spoke out last month, saying that if the U.S. goes down this path, Europe would have to “consider retaliation.”
Trump’s proposed blanket tariffs could slam German automakers like Volkswagen and BMW, dealing a huge blow to a sector that’s already struggling.
Lindner emphasized the need for diplomacy, urging EU leaders to work together to prevent a U.S.-EU trade conflict. “It’s not in the best interest of the U.S. to have a trade conflict with [the] European Union,” he argued.
And then there’s the question of tech. Europe has already started passing new regulations targeting American tech giants, which will likely inflame Trump’s administration. European leaders know they need to tread carefully here; adding fuel to an already tense trade environment could tip the scales toward an outright trade war.
Diplomatic balancing act: A tightrope walk
While some leaders, like Macron, are trying to keep a diplomatic front, the atmosphere among European officials is grim.
Macron has already signaled he’s willing to work with Trump, saying, “Ready to work together as we have done for four years.”
But he and Scholz also know that Europe needs to be stronger than ever if they’re going to keep up with the U.S. under Trump.
The EU is pushing to make its voice heard, but in the end, Europe is heading into a new economic reality, one marked by tension, instability, and a whole lot of unknowns.
The EU’s unity, economy, and very sovereignty are on the line. Trump’s back, and this time, Europe is feeling the squeeze harder than ever.
LEARN THESE CANDLESTICK PATTERNS TO MINIMIZE LOSSES IN THE CRYPTO MARKET ❗❗👇
Mastering these patterns can help traders anticipate market reversals and continuations. Here’s a breakdown of key candlestick patterns: 1. Morning Star A bullish reversal pattern seen after a downtrend. It has three candles: a long bearish, a small-bodied, and a long bullish candle, signaling an upward trend. 2. Morning Doji Star Similar to the Morning Star, but with a Doji as the middle candle, indicating indecision. It strengthens the potential for a bullish reversal. 3. Bullish Abandoned Baby A rare bullish reversal with a bearish candle, a gap-down Doji, and a bullish candle with a gap-up, indicating a strong shift to buying pressure. 4. Three White Soldiers A strong bullish pattern with three consecutive long-bodied bullish candles, each opening within the previous candle’s body, suggesting a sustained uptrend. 5. Three Line Strike (Bullish) A bullish continuation pattern with three bullish candles followed by a long bearish candle that “strikes” the previous trend. The uptrend often continues despite the last candle. 6. Three Inside Up A reversal pattern beginning with a bearish candle, followed by a bullish candle that closes within the previous one, and confirmed by a third bullish candle, signaling an upward reversal. 7. Three Outside Up A bullish reversal pattern where a bearish candle is engulfed by a bullish candle, followed by another bullish candle, indicating a shift from downtrend to uptrend. 8. Evening Star A bearish reversal pattern with a long bullish candle, a small-bodied candle, and a bearish candle, signaling a trend reversal to the downside. 9. Evening Doji Star Similar to the Evening Star, but the middle candle is a Doji, indicating market indecision and a stronger bearish reversal. 10. Bearish Abandoned Baby A bearish reversal pattern with a bullish candle, a gap-up Doji, and a bearish candle with a gap-down, suggesting a sharp move downward. 11. Three Black Soldiers A bearish continuation pattern with three consecutive long-bodied bearish candles, signaling strong selling pressure and a continued downtrend. 12. Three Line Strike (Bearish) A bearish continuation pattern with three bearish candles followed by a long bullish candle. Despite the bullish candle, the downtrend usually resumes. 13. Three Inside Down A bearish reversal pattern with an initial bullish candle, followed by a bearish candle within the previous one, confirmed by a third bearish candle, indicating a downtrend. 14. Three Outside Down A bearish reversal pattern with a bullish candle engulfed by a bearish candle, followed by another bearish candle, signaling a shift from uptrend to downtrend. Understanding these patterns can improve your analysis and timing in trades, helping you make informed decisions. If this post was helpful, please like and follow for more trading insights! #USElections2024Countdown #TetherAEDLaunch #29thBNBBurn $USDC $BTC $BNB
Apa Itu Likuiditas di Pasar Kripto dan Mengapa Penting?
Likuiditas adalah salah satu faktor kunci dalam pasar keuangan, termasuk pasar kripto. Namun, banyak investor pemula sering kali mengabaikan pentingnya likuiditas saat berinvestasi dalam aset digital. Likuiditas berkaitan dengan seberapa mudah suatu aset dapat dibeli atau dijual di pasar tanpa memengaruhi harga secara signifikan. Dalam konteks pasar kripto, likuiditas memainkan peran penting dalam menentukan stabilitas harga, kenyamanan transaksi, dan daya tarik pasar bagi investor. Artikel ini akan menjelaskan konsep likuiditas dalam pasar kripto dan mengapa likuiditas menjadi faktor penting yang perlu diperhatikan. 1. Memahami Konsep Likuiditas dalam Pasar Kripto Secara sederhana, likuiditas mengacu pada kemampuan sebuah aset untuk diubah menjadi uang tunai atau aset lainnya dengan cepat tanpa mengalami fluktuasi harga yang besar. Likuiditas tinggi berarti ada cukup banyak pembeli dan penjual yang aktif di pasar, sehingga transaksi bisa terjadi dengan cepat dan harga relatif stabil. Sebaliknya, likuiditas rendah mengindikasikan pasar yang kurang aktif, di mana volume perdagangan lebih kecil dan perubahan harga lebih drastis. Di pasar kripto, likuiditas diukur berdasarkan volume perdagangan, yaitu jumlah transaksi yang terjadi dalam periode waktu tertentu. Semakin tinggi volume perdagangan, semakin likuid pasar tersebut. Aset kripto populer seperti Bitcoin dan Ethereum umumnya memiliki likuiditas tinggi karena banyaknya investor yang memperdagangkan aset ini di berbagai bursa. 2. Faktor yang Mempengaruhi Likuiditas Kripto Beberapa faktor utama yang memengaruhi likuiditas di pasar kripto antara lain: • Volume perdagangan: Semakin banyak orang yang memperdagangkan aset tertentu, semakin likuid pasar tersebut. • Jumlah bursa kripto: Semakin banyak bursa yang menyediakan aset kripto tertentu, semakin mudah bagi investor untuk melakukan perdagangan, sehingga meningkatkan likuiditas. • Popularitas dan adopsi: Aset kripto yang populer atau diadopsi oleh lebih banyak orang akan memiliki likuiditas lebih tinggi. Misalnya, Bitcoin dan Ethereum memiliki likuiditas tinggi dibandingkan aset kripto yang kurang dikenal. • Regulasi pemerintah: Regulasi yang mendukung perdagangan kripto di suatu negara dapat meningkatkan likuiditas, sementara regulasi yang ketat atau larangan bisa menurunkan likuiditas. 3. Mengapa Likuiditas Penting di Pasar Kripto? Likuiditas memiliki peran penting dalam pasar kripto dan memberikan beberapa manfaat utama yang sangat memengaruhi keputusan investasi. A. Mempermudah Transaksi Likuiditas tinggi memungkinkan investor untuk membeli atau menjual aset dengan cepat. Jika suatu aset memiliki likuiditas rendah, investor mungkin harus menunggu lebih lama untuk menemukan pembeli atau penjual, atau bahkan mungkin harus menurunkan harga untuk menarik minat. Sebaliknya, dalam pasar yang likuid, transaksi bisa terjadi dalam hitungan detik karena banyaknya pembeli dan penjual yang siap untuk bertransaksi. B. Mengurangi Volatilitas Harga Pasar kripto terkenal dengan volatilitas harga yang tinggi, tetapi likuiditas dapat membantu mengurangi tingkat fluktuasi harga yang ekstrem. Di pasar dengan likuiditas tinggi, harga tidak akan terlalu berfluktuasi ketika ada transaksi besar karena pasar mampu menyerap perubahan tersebut tanpa terlalu banyak memengaruhi harga. Di sisi lain, pada pasar dengan likuiditas rendah, transaksi besar dapat menyebabkan lonjakan atau penurunan harga yang signifikan, membuat pasar menjadi lebih tidak stabil. C. Memudahkan Proses Evaluasi Aset Likuiditas juga membantu dalam menentukan nilai wajar suatu aset. Di pasar dengan likuiditas tinggi, harga mencerminkan keseimbangan antara penawaran dan permintaan yang realistis, sehingga lebih mudah bagi investor untuk mengevaluasi nilai sebenarnya dari suatu aset kripto. Dalam pasar yang likuid, investor dapat mengambil keputusan yang lebih baik karena harga cenderung stabil dan mencerminkan kondisi pasar yang lebih objektif. D. Menarik Lebih Banyak Investor Likuiditas yang tinggi dapat menarik lebih banyak investor, terutama institusi keuangan besar yang membutuhkan pasar dengan volume transaksi yang besar. Kehadiran investor besar ini juga akan membantu meningkatkan likuiditas, menciptakan siklus yang positif di mana pasar yang likuid semakin diminati dan berkembang. Sebaliknya, pasar yang tidak likuid bisa menurunkan minat investor karena risikonya yang lebih tinggi dan kurangnya kenyamanan dalam transaksi. 4. Risiko Likuiditas Rendah dalam Kripto Likuiditas rendah membawa risiko tinggi bagi investor. Salah satu risiko utamanya adalah slippage, yaitu perbedaan antara harga yang diharapkan dan harga yang diperoleh dalam transaksi. Ketika likuiditas rendah, investor mungkin tidak bisa membeli atau menjual aset dengan harga yang diinginkan, atau harus menerima harga yang lebih buruk, yang tentunya bisa menyebabkan kerugian. Selain itu, likuiditas rendah juga memengaruhi investor besar yang ingin menjual aset dalam jumlah besar. Dalam pasar yang tidak likuid, upaya menjual aset dalam jumlah besar bisa menyebabkan harga turun tajam, menurunkan nilai portofolio mereka dan meningkatkan volatilitas pasar. Kesimpulan Likuiditas adalah aspek penting dalam pasar kripto yang memengaruhi stabilitas harga, kemudahan transaksi, dan daya tarik pasar bagi investor. Memahami likuiditas dan faktor-faktor yang memengaruhinya akan membantu investor dalam mengambil keputusan yang lebih bijak. Aset kripto dengan likuiditas tinggi cenderung lebih aman dan stabil, terutama bagi investor yang ingin menghindari risiko volatilitas harga ekstrem. Oleh karena itu, sebelum berinvestasi dalam aset kripto, penting untuk memeriksa likuiditas dari aset yang ingin dibeli. Pastikan untuk memilih aset dengan likuiditas tinggi di pasar yang aktif, agar transaksi bisa berjalan lebih lancar dan harga lebih stabil. #liquidity
Memahami Fake Out dan Break Out dalam Trading Crypto: Panduan Mendalam Bagi Pemula
Di pasar crypto yang terkenal dengan volatilitas tinggi, pergerakan harga sering kali menciptakan skenario yang sulit diprediksi. Trader crypto sering mengalami kebingungan antara fake out dan break out, dua kondisi yang mirip tetapi memiliki dampak yang berbeda. Memahami perbedaan dan karakteristik dari keduanya dapat membantu trader menghindari jebakan sinyal palsu (fake out) dan lebih yakin ketika terjadi pergerakan harga yang valid (break out). Artikel ini akan membahas secara luas tentang fake out dan break out dalam trading crypto, termasuk definisi, cara mendeteksi, penyebab, indikator pendukung, serta tips praktis untuk mengidentifikasi dan mengelola risiko dalam menghadapi keduanya.
1. Apa itu Break Out?
Break out adalah kondisi ketika harga aset bergerak menembus level support atau resistance signifikan. Dalam dunia trading, break out dapat menunjukkan perubahan tren yang besar atau kelanjutan dari tren yang sedang berlangsung. Biasanya, trader menganggap break out sebagai sinyal kuat untuk membuka posisi baru atau menambah posisi yang ada. Break out dapat dibagi menjadi dua jenis utama: - Break Out Bullish: Terjadi ketika harga menembus resistance, menunjukkan kemungkinan bahwa harga akan terus naik. Break out bullish sering kali menjadi sinyal positif yang memberi kesempatan bagi trader untuk membeli aset. - Break Out Bearish: Terjadi ketika harga menembus support, menunjukkan bahwa harga kemungkinan akan terus turun. Break out bearish sering kali diikuti oleh tren penurunan yang kuat, memberikan sinyal bagi trader untuk menjual atau short.
2. Apa itu Fake Out?
Fake out adalah kondisi di mana harga bergerak melewati level support atau resistance, namun kemudian dengan cepat berbalik arah, menunjukkan bahwa pergerakan harga tersebut adalah sinyal palsu. Fake out bisa terjadi di semua time frame dan dapat menimbulkan kerugian bagi trader yang terjebak dengan sinyal break out palsu ini. Penyebab fake out antara lain: - Kurangnya Volume Pendukung: Break out yang terjadi tanpa adanya volume trading yang besar biasanya lebih rentan berbalik arah dan menjadi fake out. - Aksi Manipulasi Pasar oleh “Whales”: Pemain besar di pasar sering kali memanfaatkan fake out untuk memanipulasi pergerakan harga demi keuntungan mereka. - Volatilitas yang Tinggi: Di pasar crypto yang volatil, pergerakan harga cepat naik turun dalam jangka pendek bisa menciptakan fake out.
3. Karakteristik Break Out dan Fake Out Break Out yang Valid memiliki karakteristik berikut: - Volume Tinggi: Break out yang valid biasanya didukung oleh volume trading yang tinggi, menunjukkan bahwa banyak trader setuju dengan arah harga baru. - Sustainabilitas Harga: Setelah harga menembus level resistance atau support, harga akan tetap berada di luar level tersebut selama beberapa waktu, menunjukkan keabsahan break out. - Sentimen Pasar yang Konsisten: Break out yang valid sering didukung oleh berita atau sentimen pasar yang positif (untuk break out bullish) atau negatif (untuk break out bearish). Fake Out memiliki ciri-ciri sebagai berikut: - Volume Rendah: Fake out sering kali tidak didukung oleh volume trading yang besar, karena hanya sedikit trader yang mendukung pergerakan tersebut. - Kembalinya Harga ke Level Awal: Setelah harga menembus support atau resistance, harga dengan cepat berbalik arah dan kembali ke level awal, menandakan bahwa pergerakan harga tidak cukup kuat. - Volatilitas Tinggi dalam Jangka Pendek: Fake out sering kali terjadi saat volatilitas sedang tinggi, dan biasanya harga bergerak naik turun secara cepat tanpa arah yang jelas.
4. Indikator untuk Membedakan Break Out dan Fake Out Menggunakan indikator teknikal dapat membantu trader dalam membedakan break out yang valid dari fake out. Berikut adalah beberapa indikator yang efektif: - Volume Trading: Volume adalah indikator utama yang sangat berguna. Break out yang valid biasanya didukung oleh peningkatan volume yang signifikan. Jika harga menembus resistance atau support tanpa adanya lonjakan volume, ini bisa menjadi tanda fake out. - Moving Average (MA): MA, terutama MA dengan periode panjang seperti MA 50 dan MA 200, bisa menjadi konfirmasi arah tren. Jika break out terjadi di atas atau di bawah MA utama, maka kemungkinan besar pergerakan tersebut lebih valid. - Relative Strength Index (RSI): RSI dapat membantu mengidentifikasi kondisi overbought atau oversold. Ketika harga breakout tetapi RSI menunjukkan kondisi overbought pada level resistance atau oversold pada level support, ada kemungkinan bahwa pergerakan tersebut hanya fake out. - Bollinger Bands: Bollinger Bands mengukur volatilitas harga. Ketika harga menembus upper atau lower band, ini dapat mengindikasikan potensi break out, tetapi jika harga kembali ke dalam band dengan cepat, ini bisa menjadi fake out.
5. Strategi Menghadapi Fake Out dan Break Out dalam Trading Crypto Berikut adalah beberapa strategi yang dapat membantu trader mengelola risiko dan meningkatkan akurasi keputusan saat berhadapan dengan fake out dan break out. A. Konfirmasi Break Out dengan Volume Volume adalah kunci untuk membedakan break out yang valid dari fake out. Sebelum melakukan entry berdasarkan sinyal break out, pastikan untuk melihat apakah ada lonjakan volume yang signifikan. Volume yang tinggi menunjukkan bahwa banyak trader yang mendukung arah baru tersebut. B. Gunakan Time Frame Lebih Tinggi Fake out lebih sering terjadi pada time frame rendah (seperti 5 menit atau 15 menit). Untuk memastikan bahwa break out benar-benar valid, pertimbangkan untuk menganalisis pergerakan harga pada time frame yang lebih tinggi, seperti 1 jam atau 4 jam. Time frame yang lebih tinggi cenderung lebih stabil dan dapat menunjukkan tren yang lebih jelas. C. Gunakan Stop Loss dengan Bijak Stop loss sangat penting untuk mengurangi risiko akibat fake out. Letakkan stop loss pada level yang wajar berdasarkan analisis support dan resistance, atau sedikit di bawah level entry untuk posisi buy dan sedikit di atas level entry untuk posisi sell. D. Tunggu Pullback untuk Konfirmasi Salah satu cara untuk menghindari fake out adalah dengan menunggu pullback atau koreksi harga setelah break out. Setelah harga menembus level resistance atau support, tunggu hingga harga kembali menguji level tersebut. Jika harga tidak menembus kembali, ini bisa menjadi sinyal bahwa break out tersebut valid. E. Perhatikan Berita dan Sentimen Pasar Pasar crypto sangat dipengaruhi oleh berita dan sentimen global. Berita seperti peluncuran proyek baru, regulasi pemerintah, atau keputusan terkait crypto dari perusahaan besar dapat menjadi katalis yang memicu break out. Trader yang mengikuti berita dapat lebih cepat mengenali break out yang valid dibandingkan dengan fake out.
6. Contoh Penerapan Strategi di Pasar Crypto Misalkan Anda sedang memperhatikan level resistance utama di Bitcoin pada $30,000. Berikut cara menerapkan strategi untuk menghindari fake out: 1. Periksa Volume: Saat harga mendekati $30,000, perhatikan volume. Jika volume meningkat, kemungkinan break out lebih tinggi. Namun, jika volume rendah, bersiaplah untuk kemungkinan fake out. 2. Gunakan RSI: Cek kondisi overbought pada RSI. Jika harga menembus $30,000 namun RSI sudah di level overbought, ini bisa menjadi tanda bahwa pergerakan harga berpotensi kembali ke bawah. 3. Tunggu Pullback: Jika harga menembus $30,000, tunggu hingga harga kembali menguji level ini. Jika harga tetap bertahan di atas $30,000 setelah pullback, break out kemungkinan besar valid.
Kesimpulan Break out dan fake out adalah fenomena yang sering terjadi di pasar crypto dan memiliki dampak besar terhadap keputusan trading. Membedakan antara keduanya membutuhkan analisis teknikal yang cermat, pemahaman tentang volume, indikator, serta pemanfaatan time frame yang tepat. Dengan menerapkan strategi seperti konfirmasi volume, penggunaan indikator teknikal, stop loss, serta pemantauan berita pasar, trader dapat mengurangi risiko terkena fake out dan lebih yakin terhadap sinyal break out. Kombinasi pengetahuan teknikal dengan manajemen risiko yang cermat akan membantu trader mengambil keputusan yang lebih bijak di pasar crypto yang penuh dinamika. #fakeout #breakouts #LearnTogether $SANTOS $MASK $BANANA {future}(BANANAUSDT)
The KYC Scam The KYC (Know Your Customer) scam is a fraudulent scheme targeting Pi Network users. In this scam, individuals or groups posing as Pi Network representatives claim that users must complete a KYC verification process to withdraw their mined Pi coins. They often provide fake links or websites that ask for personal information, such as identification documents, bank details, and passwords. Once users provide this information, it can be used for identity theft, financial fraud, or other malicious purposes.
How the Scam Works
Phishing Emails and Messages: Scammers typically send phishing emails or messages that appear to be from the official Pi Network. These messages may contain urgent requests for KYC verification, false deadlines, or threats of account suspension.
Signs of a KYC Scam
Unsolicited Emails or Messages: Be cautious of unsolicited emails or messages asking for personal information. Urgent Deadlines: Scammers often create a sense of urgency to pressure users into providing information quickly. Suspicious Links: Avoid clicking on links in emails or messages unless you are sure they are from a trusted source. Request for Personal Information: Legitimate KYC processes may require some personal information, but scammers will often ask for more than is necessary.
Protecting Yourself from the KYC Scam
Always verify the source of any communication claiming to be from the Pi Network. Check the official Pi Network website or social media channels for information about KYC processes. Be Cautious of Urgent Requests: Do not rush into providing personal information when faced with urgent requests. Take your time to verify the legitimacy of the request. Avoid Clicking on Suspicious Links: Never click on links in emails or messages unless you are sure they are from a trusted source. authorities. #PiScam #KYCVerification #ScamAware #miningbot
Ayo Belajar!! Jenis-Jenis Support dalam Trading Cryptocurrency: Trendline, Dinamis, dan Struktural
Dalam trading cryptocurrency, mengidentifikasi level support sangat penting untuk memahami di mana harga cenderung menemukan minat beli atau "berbalik arah". Level support adalah area harga kunci di mana harga aset cenderung berhenti turun dan kemungkinan berbalik naik. Memahami berbagai jenis support membantu trader merencanakan kapan harus masuk dan keluar dari perdagangan. Berikut adalah tiga jenis support utama dalam trading cryptocurrency: Trendline Support, Dynamic Support, dan Structural Support. --- 1. Trendline Support
Definisi: Trendline support adalah level support diagonal yang terbentuk dengan menghubungkan serangkaian lower lows (terendah dalam uptrend) atau higher lows (terendah dalam downtrend) dari waktu ke waktu. Ini menunjukkan arah umum pergerakan harga aset dan mewakili area di mana trader percaya bahwa harga kemungkinan besar akan naik kembali. Cara Mengidentifikasi Trendline Support: - Uptrend: Gambarkan garis yang menghubungkan setidaknya dua atau lebih titik terendah signifikan (poin terendah harga selama penurunan). - Downtrend: Gambarkan garis yang menghubungkan dua atau lebih titik tertinggi (poin tertinggi selama reli harga dalam pergerakan turun). - Trendline menjadi lebih andal ketika menghubungkan tiga atau lebih titik, karena ini menunjukkan bahwa pasar telah menghormati garis tersebut beberapa kali. Cara Menggunakan Trendline Support: - Peluang Beli: Ketika harga menyentuh garis tren, ini bisa menjadi tanda bahwa pasar menghormati support tersebut, memberikan sinyal potensial untuk membeli. - Konfirmasi: Trader sering mencari sinyal konfirmasi bullish seperti pola candlestick (misalnya hammer, engulfing candles) di atau dekat trendline sebelum memasuki perdagangan. Keterbatasan Trendline Support: - Trendline bisa subjektif dan mungkin digambar berbeda oleh trader yang berbeda. - Seiring waktu, trendline dapat kehilangan relevansinya, terutama dalam pasar yang volatil seperti cryptocurrency, di mana pergerakan harga bisa tidak teratur.
2. Dynamic Support
Definisi: Dynamic support adalah jenis support yang bergerak dan menyesuaikan seiring dengan fluktuasi pasar. Tidak seperti trendline yang statis dan digambar berdasarkan pergerakan harga masa lalu, dynamic support terus berubah mengikuti lingkungan pasar saat ini. Support ini biasanya dibentuk oleh moving averages (MA) atau indikator teknikal lain yang mengikuti aksi harga. Cara Mengidentifikasi Dynamic Support: - Moving Averages: Moving averages umum (seperti 50-day, 100-day, atau 200-day) sering digunakan sebagai level support dinamis. Ketika harga menyentuh atau mendekati moving average ini, mereka bertindak sebagai area support. - Bollinger Bands: Bagian bawah dari Bollinger Bands juga dapat berfungsi sebagai support dinamis, terutama di pasar yang sideways atau sedikit trending. - Exponential Moving Averages (EMA): EMA, seperti 21-day atau 50-day EMA, sering memberikan support dinamis yang lebih kuat, karena bereaksi lebih cepat terhadap perubahan harga daripada moving averages sederhana. Cara Menggunakan Dynamic Support: - Sinyal Beli: Ketika harga pullback untuk menyentuh atau mendekati moving average (seperti 50-day moving average) dan kemudian menunjukkan tanda-tanda pembalikan, ini bisa dianggap sebagai peluang beli. - Trailing Stops: Trader sering menggunakan support dinamis untuk trailing stop, menyesuaikan level stop-loss mereka saat moving average bergeser dari waktu ke waktu. Keterbatasan Dynamic Support: - Dynamic support didasarkan pada data harga masa lalu dan mungkin tertinggal di belakang kondisi pasar yang bergerak cepat. - Support dinamis bisa kurang efektif selama periode volatilitas ekstrim, di mana harga bisa dengan mudah menembus moving averages.
3. Structural Support
Definisi: Structural support mengacu pada level harga horizontal utama di mana pasar secara historis berbalik arah atau berkonsolidasi. Level ini didasarkan pada aksi harga historis, di mana pembeli telah menunjukkan minat di masa lalu, yang menyebabkan pembalikan harga atau reli yang berkelanjutan. Structural support sering dianggap lebih kuat dan lebih andal daripada jenis support lainnya karena mencerminkan ingatan pasar. Cara Mengidentifikasi Structural Support: - Level Harga Historis: Lihat pergerakan harga masa lalu untuk mengidentifikasi area di mana harga telah berbalik beberapa kali. Misalnya, jika harga berulang kali menemukan support di sekitar level harga tertentu, area ini menjadi zona structural support yang kuat. - Pasar yang Bergerak Samping (Range-bound): Di pasar yang bergerak sideways atau dalam range, structural support sering diidentifikasi sebagai batas bawah dari range trading. - Volume Profile: Menggunakan alat seperti indikator Volume Profile membantu mengidentifikasi level harga dengan minat beli yang signifikan di masa lalu, menambah keyakinan terhadap level support tersebut. Cara Menggunakan Structural Support: - Membeli Saat Harga Turun: Zona structural support sering memberikan peluang beli yang sangat baik, karena mereka cenderung menjadi level harga di mana aset secara historis memantul. Trader dapat masuk posisi long ketika harga mendekati level ini, terutama jika didukung oleh sinyal bullish lainnya. - Penempatan Stop-loss: Trader sering menempatkan stop-loss sedikit di bawah level structural support untuk melindungi dari kemungkinan penurunan harga yang lebih dalam. - Strategi Breakout: Dalam tren yang kuat, jika harga menembus structural support, ini bisa menandakan kelanjutan dari tren turun, dan trader mungkin mencari peluang untuk membuka posisi short setelah breakdown. Keterbatasan Structural Support: - Structural support bisa sulit untuk dipastikan secara akurat, karena harga seringkali turun di bawah level tersebut akibat noise pasar atau breakout palsu. - Jika support ditembus dengan tegas dan volume tinggi, ini bisa menandakan kelanjutan tren turun yang kuat. ---
Menggabungkan Berbagai Jenis Support untuk Trading yang Optimal Banyak trader menggunakan kombinasi dari berbagai jenis support untuk meningkatkan peluang kesuksesan. Misalnya: - Trendline dan Dynamic Support: Dalam uptrend, pullback harga yang menyentuh trendline yang juga sejajar dengan moving average kunci dapat memberikan dukungan yang lebih kuat. - Structural Support dan Pola Candlestick: Pola candlestick pembalikan yang terbentuk di level structural support dapat berfungsi sebagai konfirmasi tambahan untuk sinyal beli. - Multiple Timeframes: Mengidentifikasi support di berbagai timeframes memungkinkan trader untuk mengukur kekuatan level tersebut. Structural support yang terlihat pada grafik harian, misalnya, mungkin lebih signifikan daripada yang terlihat pada grafik 5 menit. --- Kesimpulan Memahami berbagai jenis support—trendline, dinamis, dan struktural—memberikan pandangan komprehensif kepada trader tentang titik-titik reaksi harga potensial di pasar cryptocurrency. Baik Anda trading harian, swing trading, atau berinvestasi untuk jangka panjang, menguasai level-level support ini sangat penting untuk meningkatkan keterampilan analisis teknikal dan membuat keputusan trading yang lebih terinformasi. Dalam dunia cryptocurrency yang sangat volatil dan bergerak cepat, menggunakan beberapa jenis support secara bersamaan dapat meningkatkan keandalan strategi trading Anda serta melindungi dari sinyal palsu dan breakdown harga. Dengan menggabungkan berbagai alat dan sinyal, trader dapat menemukan setup perdagangan berpotensi tinggi dan mengelola risiko dengan lebih efektif.
If you earn tens of millions of dollars in the cryptocurrency market, will the bank inquire about the source of your funds when you withdraw them?
In most cases, when a personal bank account receives a large transfer of funds—whether tens of millions or even smaller amounts—the bank will typically initiate an anti-money laundering (AML) investigation. When large sums of money hit your account, it’s common for the bank’s customer service to contact you to verify the origin and method through which the funds were obtained. If the bank finds any irregularities, your account could be temporarily frozen, and the case might be forwarded to other regulatory authorities for further examination.
It’s important to note that the bank’s monitoring doesn’t just apply to amounts in the tens of millions. Sometimes, even a transfer of a few hundred thousand dollars can trigger a review if the system flags it as suspicious. This could lead to the bank calling you to clarify the situation.
To minimize the risk of account freezes, many cryptocurrency traders have developed strategies. For example, they avoid using salary accounts or primary accounts for crypto transactions, as a frozen account could disrupt mortgage payments, car loans, or harm their credit rating. Some also suggest not using cards from major banks, as their risk management tends to be stricter. Instead, they may use the funds from crypto sales to purchase financial products before converting it to cash. The idea is to avoid triggering strict scrutiny by major financial institutions.
For those navigating this space, the goal is to manage withdrawals smoothly and avoid unnecessary scrutiny. As always, we hope everyone in the crypto community can succeed in a bull market, reach their financial goals, and stay ahead of any potential risks!
Feel free to share your thoughts and experiences in the comments—don’t forget to follow and like..