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Binan X whale
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Binan X whale

Crypto researcher @BINANSX | Sharing real signals promise 🤝
ຜູ້ຊື້ຂາຍປະຈໍາ
2.8 ປີ
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ສັນຍານກະທິງ
$HEMI awake again Long Position Active Follow my live trades & signals directly: 📌 Click my profile icon to Follow & Subscribe now #hemi
$HEMI awake again Long Position Active
Follow my live trades & signals directly:
📌 Click my profile icon to Follow & Subscribe now #hemi
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ສັນຍານໝີ
$COW TP 1 25% TP 2 25% TP 3 50% tp 1 pay the high funding and covers the margins for add little more tp 2 secured 50% profit’s tp 3 end the trade
$COW

TP 1 25%
TP 2 25%
TP 3 50%
tp 1 pay the high funding and covers the margins for add little more
tp 2 secured 50% profit’s
tp 3 end the trade
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ສັນຍານໝີ
$COW short Position Active Follow my live trades & signals directly: 📌 Click my profile icon to Follow & Subscribe now #cow
$COW short Position Active
Follow my live trades & signals directly:
📌 Click my profile icon to Follow & Subscribe now #cow
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ສັນຍານໝີ
Another clean short setup executed inside Smart Signals 🚀 📉 $SNDK Short: +39.24% PnL (Closed at 1,647.06) 📉 $DOS Short: +9% PnL (In profit & holding) We don't guess direction. We trade data, leverage, and key liquidity zone rejections. Drop a comment below if you want the next signal alert setup! 👇 Featured Coin $DOS #cryptosignals #BinanceSquare #FuturesTrading #TradingSetup #CryptoNews
Another clean short setup executed inside Smart Signals 🚀

📉 $SNDK Short: +39.24% PnL (Closed at 1,647.06)

📉 $DOS Short: +9% PnL (In profit & holding)

We don't guess direction. We trade data, leverage, and key liquidity zone rejections.

Drop a comment below if you want the next signal alert setup! 👇

Featured Coin

$DOS

#cryptosignals #BinanceSquare #FuturesTrading #TradingSetup #CryptoNews
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ສັນຍານໝີ
ຢືນຢັນແລ້ວ
ຊື້ຂາຍ 30 ມື້ $SPCX246.2 USDT
$SPCX posted a $541 million net loss in its first public quarterly earnings report in August 2026 following its June IPO, driven by heavy capital spending on unprofitble artificial intelligence data centers and volatile post-IPO stock performance. Financial and Market PressuresQuarterly Deficit: Reported a loss of over $500 million despite high-profile revenue streams, as heavy infrastructure and AI investments drain short-term cash flow. Stock Volatility: Shares dipped significantly following the public offering and ahead of recent test flights before recovering slightly after lockup expirations. High-Cost AI Push: Massive spending on data centers and computing power has created financial friction, though executives argue it will support future scalability. Technical and Strategic UpdatesStarship Development: Ongoing testing continues to face minor delays and last-second auto-aborts tied to engine ignition issues during startup sequences. Offshore Launch Plans: The company recently reactivated proposals to utilize repurposed and oil-rig platforms for ocean-based Starship catches. {spot}(SPCXBUSDT)
$SPCX posted a $541 million net loss in its first public quarterly earnings report in August 2026 following its June IPO, driven by heavy capital spending on unprofitble artificial intelligence data centers and volatile post-IPO stock performance.

Financial and Market PressuresQuarterly Deficit: Reported a loss of over $500 million despite high-profile revenue streams, as heavy infrastructure and AI investments drain short-term cash flow.

Stock Volatility: Shares dipped significantly following the public offering and ahead of recent test flights before recovering slightly after lockup expirations.

High-Cost AI Push: Massive spending on data centers and computing power has created financial friction, though executives argue it will support future scalability.

Technical and Strategic UpdatesStarship Development:

Ongoing testing continues to face minor delays and last-second auto-aborts tied to engine ignition issues during startup sequences.

Offshore Launch Plans: The company recently reactivated proposals to utilize repurposed and oil-rig platforms for ocean-based Starship catches.
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ສັນຍານໝີ
$SNDK short Position Active Follow my live trades & signals directly: 📌 Click my profile icon to Follow & Subscribe now #sndk
$SNDK short Position Active
Follow my live trades & signals directly:
📌 Click my profile icon to Follow & Subscribe now #sndk
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ສັນຍານກະທິງ
$ACE Long Position Active Follow my live trades & signals directly: 📌 Click my profile icon to Follow & Subscribe now #ace
$ACE Long Position Active
Follow my live trades & signals directly:
📌 Click my profile icon to Follow & Subscribe now #ace
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ສັນຍານກະທິງ
APRUSDT
35%
NOTUSDT
23%
BRUSDT
42%
122 ຄະແນນສຽງ • ປິດລົງຄະແນນສຽງ
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ສັນຍານກະທິງ
Trade Performance Analysis: $AKE Perp 1. Core Position Metrics Asset / Contract: AKE Perpetual (10X Leverage) Entry Price: $0.0061331 Average Exit Price: $0.0074325 Price Movement: +21.19% pure spot move Realized Return (ROE): +210.75% (Amplified by 10x leverage) Realized PnL: +4.21 USDT 2. Technical Execution & Strategy Assessment Trend Alignment: The trade capitalized on strong upward momentum near local highs. The exit was timed accurately close to the top of the local impulse leg, locking in gains before any potential consolidation. Leverage Management: Operating at 10X allowed a +21.19% underlying spot push to generate over +210% in capital return, demonstrating highly efficient capital utility on a small margin base. Execution Timing: Position entered on a breakout build-up and closed cleanly at 0.0074325 as momentum peaked. 3. Key Takeaway Execution Grade: A+ Clean trend-following setup with an optimal exit point near the spike high, achieving more than 2× return on invested capital.
Trade Performance Analysis: $AKE Perp

1. Core Position Metrics

Asset / Contract: AKE Perpetual (10X Leverage)

Entry Price: $0.0061331

Average Exit Price: $0.0074325

Price Movement: +21.19% pure spot move

Realized Return (ROE): +210.75% (Amplified by 10x leverage)

Realized PnL: +4.21 USDT

2. Technical Execution & Strategy Assessment

Trend Alignment: The trade capitalized on strong upward momentum near local highs. The exit was timed accurately close to the top of the local impulse leg, locking in gains before any potential consolidation.

Leverage Management: Operating at 10X allowed a +21.19% underlying spot push to generate over +210% in capital return, demonstrating highly efficient capital utility on a small margin base.

Execution Timing: Position entered on a breakout build-up and closed cleanly at 0.0074325 as momentum peaked.

3. Key Takeaway

Execution Grade: A+
Clean trend-following setup with an optimal exit point near the spike high, achieving more than 2× return on invested capital.
Rise📈
25%
Rally 📉
75%
8 ຄະແນນສຽງ • ປິດລົງຄະແນນສຽງ
CFTC Signals Crackdown on Deficient Prediction Market Filings The CFTC has issued explicit guidance warning event-contract and prediction market platforms against aggressive, compliance-deficient incentive programs. Key Takeaways Incentive Overhaul: Platforms rushing filings to push yield/reward schemes face strict scrutiny over compliance gaps. Wash-Trading Warnings: Volume-based rewards that incentivize artificial liquidity are under direct oversight. Market-Maker Limits: Loss-guarantee arrangements and rebate stipends for liquidity providers are flagged for potential manipulation risk. Market Impact: Clearer boundaries protect long-term market integrity, filtering out artificial volume in favor of real market liquidity. Featured Coins $BTC $ETH $SOL #PredictionMarkets #CFTC #CryptoRegulation #defi #CryptoNews
CFTC Signals Crackdown on Deficient Prediction Market Filings

The CFTC has issued explicit guidance warning event-contract and prediction market platforms against aggressive, compliance-deficient incentive programs.

Key Takeaways

Incentive Overhaul: Platforms rushing filings to push yield/reward schemes face strict scrutiny over compliance gaps.

Wash-Trading Warnings: Volume-based rewards that incentivize artificial liquidity are under direct oversight.

Market-Maker Limits: Loss-guarantee arrangements and rebate stipends for liquidity providers are flagged for potential manipulation risk.

Market Impact: Clearer boundaries protect long-term market integrity, filtering out artificial volume in favor of real market liquidity.

Featured Coins

$BTC

$ETH

$SOL

#PredictionMarkets #CFTC #CryptoRegulation #defi #CryptoNews
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ສັນຍານກະທິງ
ຊື້ຂາຍ 30 ມື້ $BR20.6 USDT
5 Reasons Why Shorting $BR Today Is High Risk 1. Severe Short Squeeze Trapping Dynamics The Setup: The overall Long/Short Account Ratio sits at 0.57, with 63.86% of retail/general accounts shorting the asset. The Risk: When the crowd overwhelmingly stacks short positions, market makers and whales frequently push prices higher to liquidate short orders (a short squeeze) rather than following crowd sentiment down. 2. Whales / Top Traders Are Heavily Long The Setup: Looking at the Top Trader Long/Short Ratio, positions are near 50/50 to ~51%+ Long despite heavy retail shorting. The Risk: Institutional/smart money is maintaining long exposure while retail builds short positions. Shorting against top-trader positioning typically results in getting caught on the wrong side of sharp expansions. 3. Strong Monthly Bullish Momentum The Setup: The 1-Month (1M) chart reveals a massive green expansion candle pushing up from the low of $0.0387 toward $0.2301. The Risk: Shorting into a macro multi-month breakout attempts to top-tick a strong structural trend change. Parabolic monthly candles often overshoot resistance levels before any real pullback occurs. 4. Low Circulating Supply vs. High Volume Expansion The Setup: Market cap is $68.69M with only 301.67M BR in circulation (out of a 1B total supply) and 24h volume exceeding $123M. The Risk: High volume paired with a low market cap ($68M) makes BR prone to aggressive price spikes. Lower liquidity coins are easily manipulated upward, making short risk management difficult. 5. Aster 25x Leverage Listings Fueling Volatility The Setup: A news banner highlights the introduction of BR Perpetual Contracts with 25x Leverage. The Risk: New leverage product launches attract rapid speculative capital and forced liquidations. Fresh perpetual listings frequently undergo volatile upside discovery phases before settling down.
5 Reasons Why Shorting $BR Today Is High Risk

1. Severe Short Squeeze Trapping Dynamics

The Setup: The overall Long/Short Account Ratio sits at 0.57, with 63.86% of retail/general accounts shorting the asset.

The Risk: When the crowd overwhelmingly stacks short positions, market makers and whales frequently push prices higher to liquidate short orders (a short squeeze) rather than following crowd sentiment down.

2. Whales / Top Traders Are Heavily Long

The Setup: Looking at the Top Trader Long/Short Ratio, positions are near 50/50 to ~51%+ Long despite heavy retail shorting.

The Risk: Institutional/smart money is maintaining long exposure while retail builds short positions. Shorting against top-trader positioning typically results in getting caught on the wrong side of sharp expansions.

3. Strong Monthly Bullish Momentum

The Setup: The 1-Month (1M) chart reveals a massive green expansion candle pushing up from the low of $0.0387 toward $0.2301.

The Risk: Shorting into a macro multi-month breakout attempts to top-tick a strong structural trend change. Parabolic monthly candles often overshoot resistance levels before any real pullback occurs.

4. Low Circulating Supply vs. High Volume Expansion

The Setup: Market cap is $68.69M with only 301.67M BR in circulation (out of a 1B total supply) and 24h volume exceeding $123M.

The Risk: High volume paired with a low market cap ($68M) makes BR prone to aggressive price spikes. Lower liquidity coins are easily manipulated upward, making short risk management difficult.

5. Aster 25x Leverage Listings Fueling Volatility

The Setup: A news banner highlights the introduction of BR Perpetual Contracts with 25x Leverage.

The Risk: New leverage product launches attract rapid speculative capital and forced liquidations. Fresh perpetual listings frequently undergo volatile upside discovery phases before settling down.
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ສັນຍານໝີ
You can short $APR now looks no more liquidation upside check the tip function after TP 🫡 {future}(APRUSDT)
You can short $APR now looks no more liquidation upside
check the tip function after TP 🫡
Binan X whale
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ສັນຍານໝີ
Short Trade Setup: $APR (1h Frame)

Here is the structured trade layout extracted from your chart setup:

Key Parameters

Pair: APRUSDT Perp

Entry Zone:($0.512) -(0.612)

Stop Loss (SL): $0.6519 (Above the local high / red zone top)

Risk / Reward Profile: Downside expansion target aligned with the Fibonacci retracement levels.

Target Levels (Take Profit)

TP 1: $0.3738 (0.382 Fib Retracement)

TP 2: $0.3214 (0.618 Fib Retracement)

TP 3: $0.2689 (0.786 Fib Retracement)

Extended Target (Full Projection): ~$0.2300 (Base of green projection box)

Trade Execution Note: The setup triggers upon confirmation of rejection at the $0.512 local high, leveraging the parabolic rise from $0.2028 for a mean-reversion move down into the major Fibonacci zones. Position size accordingly relative to the SL distance (~4.8%)
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ສັນຍານໝີ
ຊື້ຂາຍ 30 ມື້ $APR36.4 USDT
Short Trade Setup: $APR (1h Frame) Here is the structured trade layout extracted from your chart setup: Key Parameters Pair: APRUSDT Perp Entry Zone:($0.512) -(0.612) Stop Loss (SL): $0.6519 (Above the local high / red zone top) Risk / Reward Profile: Downside expansion target aligned with the Fibonacci retracement levels. Target Levels (Take Profit) TP 1: $0.3738 (0.382 Fib Retracement) TP 2: $0.3214 (0.618 Fib Retracement) TP 3: $0.2689 (0.786 Fib Retracement) Extended Target (Full Projection): ~$0.2300 (Base of green projection box) Trade Execution Note: The setup triggers upon confirmation of rejection at the $0.512 local high, leveraging the parabolic rise from $0.2028 for a mean-reversion move down into the major Fibonacci zones. Position size accordingly relative to the SL distance (~4.8%)
Short Trade Setup: $APR (1h Frame)

Here is the structured trade layout extracted from your chart setup:

Key Parameters

Pair: APRUSDT Perp

Entry Zone:($0.512) -(0.612)

Stop Loss (SL): $0.6519 (Above the local high / red zone top)

Risk / Reward Profile: Downside expansion target aligned with the Fibonacci retracement levels.

Target Levels (Take Profit)

TP 1: $0.3738 (0.382 Fib Retracement)

TP 2: $0.3214 (0.618 Fib Retracement)

TP 3: $0.2689 (0.786 Fib Retracement)

Extended Target (Full Projection): ~$0.2300 (Base of green projection box)

Trade Execution Note: The setup triggers upon confirmation of rejection at the $0.512 local high, leveraging the parabolic rise from $0.2028 for a mean-reversion move down into the major Fibonacci zones. Position size accordingly relative to the SL distance (~4.8%)
A Crypto Market Veteran’s Blueprint for Volatility The traditional stock market strategies of the past require recalibration for crypto's 24/7 volatility. A disciplined framework for managing position sizing during drawdowns and bull expansions: Downside Strategy (DCA Strategy) Price drops 10% → Hold (Standard market noise) Price drops 30% → Accumulate +15% allocation Price drops 50% → Accumulate +35% allocation Upside Strategy (Profit-Taking Framework) Price rises 25% → Continue holding Price rises 50% → Continue holding Price rises 100% (2x) → Take 25% profit (Derisk initial capital) Price rises 200% (3x) → Take 30% profit Price rises 350% (4.5x) → Take 25% profit Price rises 500%+ (6x) → Exit remaining position / Leave moonbag Execution Principle: Absolute emotional control + systematic profit taking = Capital preservation through multi-cycle market conditions. Top 24H Market Movers (CoinMarketCap) $PROM : +44.0% $STORJ : +23.0% $DODO : +20.5% #crypto #CoinMarketCap #Altcoins #tradingStrategy #CryptoNews {spot}(DODOUSDT) {future}(STORJUSDT)
A Crypto Market Veteran’s Blueprint for Volatility

The traditional stock market strategies of the past require recalibration for crypto's 24/7 volatility. A disciplined framework for managing position sizing during drawdowns and bull expansions:

Downside Strategy (DCA Strategy)

Price drops 10% → Hold (Standard market noise)

Price drops 30% → Accumulate +15% allocation

Price drops 50% → Accumulate +35% allocation

Upside Strategy (Profit-Taking Framework)

Price rises 25% → Continue holding

Price rises 50% → Continue holding

Price rises 100% (2x) → Take 25% profit (Derisk initial capital)

Price rises 200% (3x) → Take 30% profit

Price rises 350% (4.5x) → Take 25% profit

Price rises 500%+ (6x) → Exit remaining position / Leave moonbag

Execution Principle:
Absolute emotional control + systematic profit taking = Capital preservation through multi-cycle market conditions.

Top 24H Market Movers (CoinMarketCap)

$PROM : +44.0%

$STORJ : +23.0%

$DODO : +20.5%

#crypto #CoinMarketCap #Altcoins #tradingStrategy #CryptoNews
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ສັນຍານກະທິງ
$CYS Long Position Active Follow my live trades & signals directly: 📌 Click my profile icon to Follow & Subscribe now #CYSUSDT
$CYS Long Position Active
Follow my live trades & signals directly:
📌 Click my profile icon to Follow & Subscribe now #CYSUSDT
Rise to 2 $📈
38%
Falling to 0.5$📉
54%
Nutral 1~2$
8%
120 ຄະແນນສຽງ • ປິດລົງຄະແນນສຽງ
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ສັນຍານກະທິງ
⌛️This coin prepares for pump next hours Trust your analysis Don’t follow my trades Stay safe only 1% always 🐋
⌛️This coin prepares for pump next hours
Trust your analysis
Don’t follow my trades
Stay safe only 1% always 🐋
$GUA pull back confirmation 0.06 🫶🏿
$GUA pull back confirmation 0.06
🫶🏿
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