$SPCX X says Starship reached orbit for the first time despite an engine issue during flight. Engineers found a workaround that kept the mission alive which is another pretty good example of how quickly SpaceX can adapt in real time.
$BTC — The final shakeout may be closer than most expect. $84K → $73K → $65K → $53K Key levels. Heavy volatility. One final flush could reset the cycle. Save this. Check back in a few weeks.
QNT buyers defended $195 and pushed price back toward $250, a roughly 28% rebound from the low. Quant is a London-based blockchain technology company. Its Overledger platform connects financial systems and blockchain networks. (quant.network) On the 4H chart, RSI cooled to around 68 while price recovered, supporting bullish momentum. A sustained close above $255, followed by $289, would strengthen the case for revisiting $374.50. If $BTC and $ETH keep rising, $QNT $428 all-time high becomes a stretch target. Reaching there within days requires roughly another 71% gain, so confirmation matters. Holding $195–$200 supports the recovery. Losing this support weakens the bullish setup.
Las monedas más populares • Aerodrome Finance ($AERO ): Cotiza alrededor de $0.85 con un aumento en 24 horas de aproximadamente 21.2%. • Ethena ($ENA ): Precio cercano a $0.26 con un incremento del 18.1% durante el día anterior. • Ondo Finance ($ONDO ): Se mantiene cerca de $0.54 con un movimiento ascendente constante. • Sui (SUI): Cotiza a $1.12 después de un aumento en 24 horas de dos dígitos de aproximadamente 14%. • Protocolo NEAR (NEAR): Precio de $5.00 con una ganancia diaria del 6% y un volumen general sólido.
Los mayores movimientos $QNT destaca por el impulso: los últimos datos regionales de tendencias de CoinGecko muestran aproximadamente +232.7% en 7 días, mientras que $HBAR está alrededor de +29.3% y $LINK alrededor de +17.3%. La clasificación de tendencias de CoinGecko mide popularidad/atención, no necesariamente los fundamentos o la calidad de la inversión
$MU FY2026 Q4 Earnings - My Bullish Setup Micron reports Sep 30 after close. Guidance: $50B ± $1B revenue, ∼86% gross margin, ∼$31 EPS. Consensus: $31.49 EPS vs $3.03 YoY. Wall Street is above guidance - UBS $52.4B / 87.6% GM, Goldman $51.9B / 87.3% GM. I'm tactically BULLISH. Why? $100B in contracted obligations + HBM4 pricing power. But I won't chase ATH blindly. Trade Plan: 50% long before earnings, take profit on gap if GM >87%, hold rest for forward guidance. Tight risk management. What's your call post-earnings? Bullish or bearish? $MU #earningsseason
Micron (MU) Resultados del 4T — ¿Alcista o bajista?
Los resultados del 4T del año fiscal 2026 de Micron se publican el 30 de septiembre, con una guía de la empresa que apunta a unos ingresos de $50B y $31 de EPS ajustado.
Factores alcistas: la demanda de IA/centros de datos sigue siendo fuerte, en particular para HBM y DRAM, mientras que los analistas esperan aproximadamente $50.9B en ingresos y $31.45 de EPS.
Riesgos bajistas: las expectativas ya son muy altas, así que incluso un informe sólido podría decepcionar si la guía de 2027, los márgenes brutos o la demanda de memoria para IA quedan por debajo de lo esperado. Los mercados de opciones están valorando un posible movimiento considerable después de los resultados.
Conclusión: el escenario previo a los resultados es fundamentalmente positivo, pero las expectativas están elevadas. Las cifras más importantes a vigilar son los ingresos/EPS del 4T, el margen bruto y la guía de FY2027. #EarningsSeason
NVIDIA’s Board of Directors has authorized a $150 billion increase to the share repurchase program, raising the remaining total program to $235 billion. A good move, as $NVDA looks undervalued here. This also shows confidence in the company’s future growth prospects.
Don't panic.... $ZEC below $1,400 is another opportunity to BUY lower, market is giving us all another chance before ZCASH hits $2,000+ 💪🏻 I am accumulating more on these major dips.... $ZEC just broke the short term structure a bit, but broader bullish trend is still intact for me as long as ZEC stays above that $980-$1,000 area 😉 Remember ZEC has done this before too... strong push, major pullback, consolidation and then another move higher. These dips are chances to accumulate at lower prices... not the time to panic after the dump 😁 #zec
$SAGA · 1H At $0.0275, $SAGA is sitting right in the middle of its hourly averages. Buyers have been showing up around $0.0251, which is where price is sitting now. It is sitting in the bottom third of the range. Support is the near one at 8.8% below; the range high is far above. Averages have been ordered the same way for a long stretch now, with the 20 below the 50. Momentum is mid range with RSI at 49. The 24 hour range runs $0.0251 to $0.0288, and price is around the middle of it. Volume is thin, around 0.4x the recent average, so moves here are easier to fade. Down 1.9% over 24 hours. DYRo $SAGA #crypto
$QNT The breakout delivered far more than expected. $QNT pushed from around $100 to above $350, briefly touching the $350–$360 zone, before pulling back. Now the key area to watch is $238–$266 as support, while $350–$360 remains the major resistance zone. Momentum is still strong, but after such a sharp move, volatility can stay high. #QNT #Quant #Crypto #BinanceSquare
If you think Bitcoin has been the best-performing asset over the last 90 days, you are simply wrong. The real action has been happening across the altcoin market, and this chart makes that very clear. $PONS has dominated the list with an extraordinary gain of more than 6,300%, which shows just how aggressive some altcoin moves have been during this period. Then comes $ZEC with more than 330% gains, and this one is especially important because we have already told you guys multiple times to keep an eye on ZEC and consider accumulating it for spot. The results are now right in front of you, and ZEC has become one of the strongest-performing coins in this entire list. There are also many other strong performers such as $ARB, $NEAR, $LINK , $SUI , $UNI and $RAY, which have all delivered impressive returns over the last 90 days. The main thing I want you to understand is that opportunities in crypto never end with one coin or one move. There will always be another strong setup, another breakout and another project that starts gaining momentum before the majority notices it. So if you did not catch some of these moves, do not start chasing them emotionally. We will continue looking for strong coins early and sharing the ones that we believe have the potential to perform well in the coming weeks and months. Stay tuned and keep following Panda Traders. 🐼🚀
Estas son las 30 criptomonedas con mejor desempeño entre las 100 principales por capitalización de mercado durante los últimos 90 días. PONS lidera la lista con un increíble +6.309,99%, seguido por $ZEC con +333,92% y RAY con +256,29%. Mientras tanto, $BTC ha ganado alrededor de un 42% y $ETH alrededor de un 72% en los últimos 90 días.
$DOT $DOT is at $1.24, with one average above price and one below. The three day range runs from $1.10 up to $1.31. Price is holding in the upper third of that range. That is 5.7% to the ceiling and 11.2% to the floor. The 20 has stayed above the 50 for 58 candles. RSI at 51 is neutral, so momentum is not blocking a move either way. Over the past day it has traded between $1.20 and $1.31, sitting around the middle of it now. Turnover is unremarkable, running 1.0x the recent average. The 20 average is at $1.24 and the 50 at $1.22. Up 0.7% over 24 hours.
$ZEC Yeah Good NEW... If $ZEC break 1600$...Come 1700$... May be can see 2000$... Box break plan...is coming... Hey friend...If u had buy ZEC at 1000$... Congrat u haha
We officially have a weekly market structure shift on $BTC Coulb be better if the breakout candle was bigger than this but since we have a close above the last swing high, the structure has been shifted 🤝
Pump.fun just dumped another 47,994 $SOL — that's $5.83M in a few hours. They're now at 5.2M $SOL sold total for $848M, average exit at $162. This isn't random. It's a coordinated shake. Pump.fun and the Solana crew are doing it in broad daylight because they want you scared. They want weak hands out before the next leg. Here's the play: if you're holding $SOL, size accordingly. Don't panic sell into their dump. If you're trading, wait for capitulation wicks and scale in tight. Set your invalidation at the last major low and don't give them free liquidity. This is how whales operate — scare retail, accumulate lower, pump later. Don't be the exit liquidity. Stack smart, stay patient, and let the fear wash out before you add size.