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🚀 Hemi (HEMI) — The Layer-2 Revolution Has Begun! 🔥 A modular Layer-2 built to unite Bitcoin’s security with Ethereum’s intelligence. 💥 Powered by the groundbreaking Hemi Virtual Machine (hVM) — where a Bitcoin node lives inside an EVM system. ⚙️ True interoperability, no wrapped BTC, no bridges — just pure on-chain synergy. 🔗 Anchored to Bitcoin for ultimate security. 🧠 EVM-compatible. Fast. Scalable. Modular. 💰 Fuelled by the $HEMI token for gas, staking & governance. 🌐 Backed by Hemi Labs + partners like LayerZero & Infura. 💡 The goal: make Bitcoin programmable, DeFi-ready, and unstoppable. 👉 Hemi isn’t just connecting chains — it’s merging worlds. #ETHETFsApproved #EconomicAlert #MarketPullback #PrivacyNarrativeRising #BinanceHODLerWAL $HEMI {spot}(HEMIUSDT)
🚀 Hemi (HEMI) — The Layer-2 Revolution Has Begun!

🔥 A modular Layer-2 built to unite Bitcoin’s security with Ethereum’s intelligence.
💥 Powered by the groundbreaking Hemi Virtual Machine (hVM) — where a Bitcoin node lives inside an EVM system.
⚙️ True interoperability, no wrapped BTC, no bridges — just pure on-chain synergy.
🔗 Anchored to Bitcoin for ultimate security.
🧠 EVM-compatible. Fast. Scalable. Modular.
💰 Fuelled by the $HEMI token for gas, staking & governance.
🌐 Backed by Hemi Labs + partners like LayerZero & Infura.
💡 The goal: make Bitcoin programmable, DeFi-ready, and unstoppable.

👉 Hemi isn’t just connecting chains — it’s merging worlds.

#ETHETFsApproved #EconomicAlert #MarketPullback #PrivacyNarrativeRising #BinanceHODLerWAL
$HEMI
Marcado em alerta 🚨O resumo da economia hoje, sábado, 11 de outubro de 2025, destaca a volatilidade no mercado financeiro global e brasileiro, com o dólar em alta e a bolsa em queda semanal, em meio a tensões internacionais e questões fiscais internas.  Cenário Global Tensões EUA-China: As relações comerciais continuam a impactar os mercados globais, contribuindo para a volatilidade do dólar em relação a moedas de países emergentes, incluindo o real brasileiro.Projeções de Crescimento: A OCDE projeta um crescimento global de 3,2% em 2025, uma ligeira alta em relação às previsões anteriores, devido em parte à antecipação de comércio e produção antes da entrada em vigor de tarifas mais altas.  Economia Brasileira Mercado Financeiro:O dólar disparou para a faixa de R$ 5,50. Analistas de mercado preveem que o real pode sustentar ganhos frente ao dólar em 2025, mas alertam para o risco fiscal.A Bolsa de Valores (Ibovespa) fechou a terceira semana consecutiva no vermelho, com perdas acumuladas de 2,44% na semana.O BNDES já liberou R$ 4 bilhões para empresas afetadas pelo "tarifaço" dos EUA.Indicadores e Políticas:O mercado financeiro reduziu ligeiramente a previsão de inflação (IPCA) para 2025, de 4,81% para 4,80%, segundo o Boletim Focus mais recente.Debates sobre a reforma tributária e o corte de isenções fiscais, que somam cerca de R$ 500 bilhões anuais, continuam na pauta do governo.A Câmara dos Deputados discute uma proposta para o aumento gradual da licença-paternidade.Previsões: O Banco Mundial projeta que a economia brasileira crescerá 2,4% em 2025, um desempenho acima da média para a América Latina.  Os mercados permanecerão fechados no fim de semana, com as atenções voltadas para os desdobramentos geopolíticos e indicadores econômicos a serem divulgados na próxima semana. #SquareMentionsHeatwave #PrivacyNarrativeRising #EconomicAlert #MarketPullback

Marcado em alerta 🚨

O resumo da economia hoje, sábado, 11 de outubro de 2025, destaca a volatilidade no mercado financeiro global e brasileiro, com o dólar em alta e a bolsa em queda semanal, em meio a tensões internacionais e questões fiscais internas. 
Cenário Global
Tensões EUA-China: As relações comerciais continuam a impactar os mercados globais, contribuindo para a volatilidade do dólar em relação a moedas de países emergentes, incluindo o real brasileiro.Projeções de Crescimento: A OCDE projeta um crescimento global de 3,2% em 2025, uma ligeira alta em relação às previsões anteriores, devido em parte à antecipação de comércio e produção antes da entrada em vigor de tarifas mais altas. 
Economia Brasileira
Mercado Financeiro:O dólar disparou para a faixa de R$ 5,50. Analistas de mercado preveem que o real pode sustentar ganhos frente ao dólar em 2025, mas alertam para o risco fiscal.A Bolsa de Valores (Ibovespa) fechou a terceira semana consecutiva no vermelho, com perdas acumuladas de 2,44% na semana.O BNDES já liberou R$ 4 bilhões para empresas afetadas pelo "tarifaço" dos EUA.Indicadores e Políticas:O mercado financeiro reduziu ligeiramente a previsão de inflação (IPCA) para 2025, de 4,81% para 4,80%, segundo o Boletim Focus mais recente.Debates sobre a reforma tributária e o corte de isenções fiscais, que somam cerca de R$ 500 bilhões anuais, continuam na pauta do governo.A Câmara dos Deputados discute uma proposta para o aumento gradual da licença-paternidade.Previsões: O Banco Mundial projeta que a economia brasileira crescerá 2,4% em 2025, um desempenho acima da média para a América Latina. 
Os mercados permanecerão fechados no fim de semana, com as atenções voltadas para os desdobramentos geopolíticos e indicadores econômicos a serem divulgados na próxima semana.
#SquareMentionsHeatwave
#PrivacyNarrativeRising
#EconomicAlert
#MarketPullback
Fed Officials Signal Support for More Rate Cuts Amid Labor Market Concerns Washington, October 2025 — The latest Federal Reserve meeting minutes show that most policymakers favored additional interest rate cuts this year, reflecting growing concerns over a weakening job market and easing inflation pressures. At the September meeting, the Fed lowered its benchmark rate by 0.25% to around 4.1%, and officials signaled openness to further reductions if economic conditions deteriorate. While some members preferred to hold rates steady, a few argued for a larger 0.50% cut to bolster slowing growth. The minutes highlighted that inflation risks have “diminished or not increased,” giving the Fed more room to support employment and investment. However, officials acknowledged uncertainty, especially with the ongoing U.S. government shutdown delaying key economic data releases. Fed Chair Jerome Powell emphasized that policymakers face “no risk-free paths” as they balance inflation control with sustaining economic momentum. Markets now expect at least one more rate cut before year-end if labor market weakness persists #USGovernment #FedChairPowell #FederalReserve #FedReport #EconomicAlert
Fed Officials Signal Support for More Rate Cuts Amid Labor Market Concerns

Washington, October 2025 — The latest Federal Reserve meeting minutes show that most policymakers favored additional interest rate cuts this year, reflecting growing concerns over a weakening job market and easing inflation pressures.

At the September meeting, the Fed lowered its benchmark rate by 0.25% to around 4.1%, and officials signaled openness to further reductions if economic conditions deteriorate. While some members preferred to hold rates steady, a few argued for a larger 0.50% cut to bolster slowing growth.

The minutes highlighted that inflation risks have “diminished or not increased,” giving the Fed more room to support employment and investment. However, officials acknowledged uncertainty, especially with the ongoing U.S. government shutdown delaying key economic data releases.

Fed Chair Jerome Powell emphasized that policymakers face “no risk-free paths” as they balance inflation control with sustaining economic momentum. Markets now expect at least one more rate cut before year-end if labor market weakness persists

#USGovernment #FedChairPowell #FederalReserve #FedReport #EconomicAlert
Frai18
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La Verdad Desnuda de Binance en Venezuela: Más que un Exchange, una Necesidad Nacional
Para el mundo, Binance es una plataforma para hacer trading, para especular, para soñar con un "lambo". Para Venezuela, la realidad es mucho más cruda y fundamental: Binance es una herramienta de supervivencia.
Quien no vive aquí no entiende lo que significa ver el precio del dólar subir dos veces en un día y sentir cómo el sueldo o los ahorros se convierten en polvo. No es una gráfica en una pantalla, es el menú del almuerzo que se encoge, la medicina que ya no puedes pagar. En este caos, Binance no fue una opción, se convirtió en una necesidad.
​¿Cómo mejora o afecta esto al venezolano?
​La Mejora (El Refugio):
1.Dolarización Personal: Binance, a través de USDT, nos permitió hacer lo que el sistema financiero nos negó por años: ahorrar y transar en una moneda fuerte. El P2P es el verdadero corazón económico del país, un sistema nervioso donde fluye el dinero para pagar desde un simple delivery hasta el alquiler de un apartamento. Es la libertad de proteger el valor de tu trabajo de forma inmediata.

2.​Conexión con el Mundo: Para miles de freelancers, emprendedores y familias con parientes en el extranjero, Binance derribó los muros. Recibir pagos o remesas ya no significa perder un porcentaje enorme en intermediarios lentos y burocráticos. Es recibir tu dinero de forma casi instantánea y poder usarlo en tu día a día.

​El Afecto (El Riesgo Silencioso):

​Centralización y Dependencia: Hemos puesto una confianza inmensa en una sola plataforma. ¿Es esto inteligente a largo plazo? Dependemos de las políticas de una empresa privada y de las regulaciones internacionales que puedan afectarla. No podemos ser ingenuos; la centralización siempre será un punto de vulnerabilidad.
​La Brecha Educativa: La urgencia por usar la plataforma ha hecho que muchos entren sin la educación necesaria. Esto los expone a estafas en el P2P, a caer en esquemas piramidales promocionados en redes y a no entender los principios básicos de la seguridad de sus propios activos.

​Mi Opinión como Usuario:
Binance ha sido, sin lugar a dudas, un factor de mejora para la calidad de vida de millones de venezolanos. Ha devuelto un grado de estabilidad y control financiero que creíamos perdido. Sin embargo, no podemos verla como la solución definitiva, sino como lo que es: la mejor herramienta que tenemos ahora. La verdadera soberanía financiera vendrá de la educación, de aprender a usar wallets de autocustodia y de entender que ninguna plataforma, por grande que sea, debe ser el único pilar de nuestro patrimonio.
​Usemos las herramientas, pero no olvidemos el objetivo final: ser dueños de nuestro propio futuro financiero.
​#BinanceVenezuela #CriptoVenezuela #RealidadVenezolana #P2PVenezuela #USDT #EconomiaDigital l #FinanzasPersonales #ProtegeTuDinero #Dolarizacion #Remesas
🚨 أحداث اقتصادية مهمة هذا الأسبوع قد تحرك الأسواق! 🚨 رغم استمرار الإغلاق الحكومي الأمريكي 🇺🇸 الذي يحد من صدور بعض البيانات، إلا أن هذا الأسبوع حافل بأحداث رئيسية تترقبها الأسواق عن كثب 👇 📅 الجدول الزمني للأحداث: 1️⃣ توقعات التضخم من الاحتياطي الفيدرالي في نيويورك – الثلاثاء 7 أكتوبر 2️⃣ محضر اجتماع الفيدرالي – الأربعاء 8 أكتوبر 3️⃣ خطاب رئيس الفيدرالي جيروم باول – الخميس 9 أكتوبر 🎙️ 4️⃣ بيانات ثقة المستهلك (MI Consumer Sentiment) – الجمعة 10 أكتوبر 5️⃣ توقعات المستهلكين (MI Consumer Expectations) – الجمعة 10 أكتوبر 6️⃣ تقرير الوظائف لشهر سبتمبر (في حال انتهاء الإغلاق) – الجمعة 10 أكتوبر ⚠️ 💥 في ظل محدودية البيانات الاقتصادية بسبب الإغلاق، قد يكون كل تصريح أو إشارة من الفيدرالي مؤثرًا بشكل كبير على الأسواق — خصوصاً فيما يتعلق بخفض الفائدة واتجاه السيولة. ما رأيكم يا جماعة – أي حدث من هذه سيكون له التأثير الأكبر على حركة الكريبتو هذا الأسبوع؟ 🚀📊 #CryptoNews #EconomicAlert #PowellSpeech #MarketUptober #USGovShutdown
🚨 أحداث اقتصادية مهمة هذا الأسبوع قد تحرك الأسواق! 🚨

رغم استمرار الإغلاق الحكومي الأمريكي 🇺🇸 الذي يحد من صدور بعض البيانات، إلا أن هذا الأسبوع حافل بأحداث رئيسية تترقبها الأسواق عن كثب 👇

📅 الجدول الزمني للأحداث:
1️⃣ توقعات التضخم من الاحتياطي الفيدرالي في نيويورك – الثلاثاء 7 أكتوبر
2️⃣ محضر اجتماع الفيدرالي – الأربعاء 8 أكتوبر
3️⃣ خطاب رئيس الفيدرالي جيروم باول – الخميس 9 أكتوبر 🎙️
4️⃣ بيانات ثقة المستهلك (MI Consumer Sentiment) – الجمعة 10 أكتوبر
5️⃣ توقعات المستهلكين (MI Consumer Expectations) – الجمعة 10 أكتوبر
6️⃣ تقرير الوظائف لشهر سبتمبر (في حال انتهاء الإغلاق) – الجمعة 10 أكتوبر ⚠️

💥 في ظل محدودية البيانات الاقتصادية بسبب الإغلاق، قد يكون كل تصريح أو إشارة من الفيدرالي مؤثرًا بشكل كبير على الأسواق — خصوصاً فيما يتعلق بخفض الفائدة واتجاه السيولة.

ما رأيكم يا جماعة – أي حدث من هذه سيكون له التأثير الأكبر على حركة الكريبتو هذا الأسبوع؟ 🚀📊

#CryptoNews
#EconomicAlert
#PowellSpeech
#MarketUptober
#USGovShutdown
JPMORGAN GLOBAL SERVICES PMI SEP: 52.8 (PREV 53.4) || COMPOSITE PMI: 52.4 (PREV 52.9) #EconomicAlert
JPMORGAN GLOBAL SERVICES PMI SEP: 52.8 (PREV 53.4) || COMPOSITE PMI: 52.4 (PREV 52.9)
#EconomicAlert
🔥 ¡Atención Inversor! No Todos los Recortes de Tasas de la FED son Alcistas 📉📈Muchos en el mercado esperan con ansias que la Reserva Federal de EE. UU. (FED) comience a recortar las tasas de interés, viéndolo como la señal definitiva para un nuevo rally en #Bitcoin y los mercados. Pero, ¡cuidado! La historia nos enseña que el contexto lo es todo. La verdadera pregunta no es si recortarán, sino por qué lo harán. El Escenario Optimista: Recortes sin Recesión 🚀 Según un análisis de Goldman Sachs, cuando la FED reduce las tasas en un entorno económico estable y sin recesión, el impacto es extremadamente positivo. 📊Dato Clave: Históricamente, en este escenario, el S&P 500 ha registrado una subida promedio del +50% en los dos años posteriores al primer recorte. ¿Por qué funciona? Un recorte proactivo se interpreta como un ajuste para estimular aún más una economía ya saludable. Esto inyecta liquidez, aumenta la confianza y dispara el apetito por activos de riesgo como las acciones y, por supuesto, las criptomonedas. Los periodos de 1995 y 2019 son claros ejemplos. El Escenario Pesimista: Recortes en Plena Crisis 🩸 Por otro lado, si la FED se ve forzada a bajar las tasas como una medida de emergencia para combatir una recesión, el resultado es completamente opuesto. 📊Dato Clave: En estos casos, el S&P 500 ha llegado a caer entre un -20% y -30%. 🛑¿Por qué falla? El recorte no es una señal de fortaleza, sino una reacción al pánico. El miedo domina, la liquidez se evapora y los inversores huyen hacia activos seguros. Las crisis de 2001 y 2008 son el recordatorio perfecto. ¿Qué Significa Esto para el Mercado Hoy? Actualmente, la economía estadounidense no está técnicamente en recesión y la inflación, aunque persistente, ha ido moderándose. Esto sugiere que cualquier futuro recorte de tasas podría alinearse más con el primer escenario: una medida para asegurar un "aterrizaje suave" y mantener el crecimiento. Para el mercado cripto, esto es crucial. Un entorno de recortes sin recesión podría ser el catalizador que impulse a $BTC a nuevos máximos, atrayendo capital institucional y minorista en busca de mayores rendimientos. Conclusión: Mantén la vista en el "porqué". Si la FED recorta por fortaleza, prepárate. Si recorta por debilidad, actúa con cautela. ¿Tú qué opinas? ¿Crees que estamos ante un escenario alcista como el de 1995 o ves riesgos de recesión en el horizonte? ¡Deja tu opinión en los comentarios! 👇 #FED #Bitcoin #SP500 #EconomicAlert #BinanceSquare

🔥 ¡Atención Inversor! No Todos los Recortes de Tasas de la FED son Alcistas 📉📈

Muchos en el mercado esperan con ansias que la Reserva Federal de EE. UU. (FED) comience a recortar las tasas de interés, viéndolo como la señal definitiva para un nuevo rally en #Bitcoin y los mercados.
Pero, ¡cuidado! La historia nos enseña que el contexto lo es todo. La verdadera pregunta no es si recortarán, sino por qué lo harán.
El Escenario Optimista: Recortes sin Recesión 🚀
Según un análisis de Goldman Sachs, cuando la FED reduce las tasas en un entorno económico estable y sin recesión, el impacto es extremadamente positivo.
📊Dato Clave: Históricamente, en este escenario, el S&P 500 ha registrado una subida promedio del +50% en los dos años posteriores al primer recorte.
¿Por qué funciona? Un recorte proactivo se interpreta como un ajuste para estimular aún más una economía ya saludable. Esto inyecta liquidez, aumenta la confianza y dispara el apetito por activos de riesgo como las acciones y, por supuesto, las criptomonedas. Los periodos de 1995 y 2019 son claros ejemplos.
El Escenario Pesimista: Recortes en Plena Crisis 🩸
Por otro lado, si la FED se ve forzada a bajar las tasas como una medida de emergencia para combatir una recesión, el resultado es completamente opuesto.
📊Dato Clave: En estos casos, el S&P 500 ha llegado a caer entre un -20% y -30%.
🛑¿Por qué falla? El recorte no es una señal de fortaleza, sino una reacción al pánico. El miedo domina, la liquidez se evapora y los inversores huyen hacia activos seguros. Las crisis de 2001 y 2008 son el recordatorio perfecto.
¿Qué Significa Esto para el Mercado Hoy?
Actualmente, la economía estadounidense no está técnicamente en recesión y la inflación, aunque persistente, ha ido moderándose. Esto sugiere que cualquier futuro recorte de tasas podría alinearse más con el primer escenario: una medida para asegurar un "aterrizaje suave" y mantener el crecimiento.
Para el mercado cripto, esto es crucial. Un entorno de recortes sin recesión podría ser el catalizador que impulse a $BTC a nuevos máximos, atrayendo capital institucional y minorista en busca de mayores rendimientos.
Conclusión: Mantén la vista en el "porqué". Si la FED recorta por fortaleza, prepárate. Si recorta por debilidad, actúa con cautela.
¿Tú qué opinas? ¿Crees que estamos ante un escenario alcista como el de 1995 o ves riesgos de recesión en el horizonte? ¡Deja tu opinión en los comentarios! 👇

#FED #Bitcoin #SP500 #EconomicAlert #BinanceSquare
📉 $EDEN Update Bought 300 @ $1.28 — feels like a bottom play. 💡 Project has a strong background, but current market cap is still relatively low. Not sure if spot opening can break $2, but keeping an eye on it. ⚠️ Not financial advice — just sharing my own trade. #EconomicAlert DEN #cryptouniverseofficial oTrading #Altcoins! coins #MarketWatch
📉 $EDEN Update
Bought 300 @ $1.28 — feels like a bottom play.

💡 Project has a strong background, but current market cap is still relatively low.
Not sure if spot opening can break $2, but keeping an eye on it.

⚠️ Not financial advice — just sharing my own trade.

#EconomicAlert DEN #cryptouniverseofficial oTrading #Altcoins! coins #MarketWatch
🔥ATENCIÓN🔥 🗓Esta semana tiene DATOS ECONÓMICOS IMPORTANTÍSIMOS para los mercados financieros ¿Qué podemos esperar de ellos⁉️ 🔹Martes ▪️Confianza del CONSUMIDOR 11:00 ARG ▪️Encuesta JOLTS de ofertas de EMPLEO 11:00 ARG 🔹Miércoles ▪️Cambio de EMPLEO no AGRÍCOLA 09:15 ARG ▪️PBI EEUU 09:30 ARG ▪️INFLACIÓN PCE subyacente 11:00 ARG 🔹Jueves ▪️Decisión de tasa de interés de Japón 00:00 ARG ▪️Peticiones de subsidios por DESEMPLEO 09:30 ARG ▪️PMI manufacturero 10:45 ARG 🔹Viernes ▪️Ingresos medios por hora 09:30 ARG ▪️Nóminas no agrícolas 09:30 ARG ▪️Tasa de desempleo 09:30 ARG 👉Esto es lo que podemos esperar: 📍Debilidad en el MERCADO LABORAL podría llevar a la FED a RECORTAR la TASA de INTERÉS antes de lo esperado 📍El PBI de EE.UU podría generar temores de RECESIÓN si viene muy mal 📍Clave que la INFLACIÓN PCE caiga para impulsar los recortes de la tasa de interés #EconomicAlert #FinancialGrowth #MercadoFinanceiro
🔥ATENCIÓN🔥

🗓Esta semana tiene DATOS ECONÓMICOS IMPORTANTÍSIMOS para los mercados financieros
¿Qué podemos esperar de ellos⁉️

🔹Martes

▪️Confianza del CONSUMIDOR 11:00 ARG

▪️Encuesta JOLTS de ofertas de EMPLEO 11:00 ARG

🔹Miércoles

▪️Cambio de EMPLEO no AGRÍCOLA 09:15 ARG

▪️PBI EEUU 09:30 ARG

▪️INFLACIÓN PCE subyacente 11:00 ARG

🔹Jueves

▪️Decisión de tasa de interés de Japón 00:00 ARG
▪️Peticiones de subsidios por DESEMPLEO 09:30 ARG
▪️PMI manufacturero 10:45 ARG

🔹Viernes
▪️Ingresos medios por hora 09:30 ARG
▪️Nóminas no agrícolas 09:30 ARG
▪️Tasa de desempleo 09:30 ARG

👉Esto es lo que podemos esperar:

📍Debilidad en el MERCADO LABORAL podría llevar a la FED a RECORTAR la TASA de INTERÉS antes de lo esperado
📍El PBI de EE.UU podría generar temores de RECESIÓN si viene muy mal
📍Clave que la INFLACIÓN PCE caiga para impulsar los recortes de la tasa de interés

#EconomicAlert #FinancialGrowth #MercadoFinanceiro
🔥TIN MỚI NHẤT: Trung Quốc 🇨🇳 tuyên bố trừng phạt 28 công ty Hoa Kỳ 🇺🇸. Đùa không vui anh Tập đã căng - Các công ty bị nhắm mục tiêu được cho là có liên quan đến các lĩnh vực quân sự và công nghệ. - Động thái này có thể làm căng thẳng thêm mối quan hệ kinh tế giữa hai quốc gia. Anh em nghĩ hành động này sẽ ảnh hưởng đến thị trường ra sao? cùng comment nhé! #china #TradeNTell #EconomicAlert #TrendingTopic
🔥TIN MỚI NHẤT: Trung Quốc 🇨🇳 tuyên bố trừng phạt 28 công ty Hoa Kỳ 🇺🇸.
Đùa không vui anh Tập đã căng
- Các công ty bị nhắm mục tiêu được cho là có liên quan đến các lĩnh vực quân sự và công nghệ.
- Động thái này có thể làm căng thẳng thêm mối quan hệ kinh tế giữa hai quốc gia.

Anh em nghĩ hành động này sẽ ảnh hưởng đến thị trường ra sao? cùng comment nhé!
#china #TradeNTell #EconomicAlert #TrendingTopic
Binance Academy
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What Is Tokenomics and Why Does It Matter?
Key Takeaways

Tokenomics refers to how a cryptocurrency’s economic model is designed. It describes the factors that impact a token’s use and value.

This can include things like the token’s creation, supply, distribution, key features, reward systems, and token burn schedules.

For crypto projects, well-designed tokenomics is critical to success. Assessing a project’s tokenomics before deciding to participate is common practice among investors and stakeholders.

Introduction 

Since Bitcoin kicked off the cryptocurrency revolution in 2009, the market has grown wildly, spawning thousands of tokens. One of the things that determines whether a crypto project thrives or fails is its tokenomics—that is, how its token’s economy is designed and managed. 

In other words, tokenomics brings together ideas from economics, game theory, and blockchain technology to set the rules for how tokens get made, spread around, and used.

Tokenomics at a Glance 

Tokenomics (a blend of the words “token” and “economics”) covers the economic factors that define how a cryptocurrency works. This includes how many tokens (or coins) exist, how they’re launched into the market, what they can be used for, and the incentives designed to motivate users and maintain the network’s health.

This is similar to how a central bank implements monetary policies to encourage or discourage spending, lending, saving, and the movement of money. But unlike traditional money controlled by central banks, most crypto tokens operate transparently using blockchain and smart contracts.

Key Elements of Tokenomics

Token supply

Max supply: This is the total number of tokens that will ever be created. For example, Bitcoin’s cap is 21 million coins. After the 2024 halving, Bitcoin’s mining reward lowered from 6.25 to 3.125 BTC per block, cutting the pace at which new coins enter circulation. Mining the last bitcoin is expected sometime around the year 2140.  

Circulating supply: How many tokens are currently out in the market, accessible to users and traders. The amount can go up or down based on minting new tokens, burning existing ones, or tokens locked away in vesting schedules.

Inflation vs. deflation: Some cryptos, like ether (ETH), don’t have a fixed limit but use mechanisms like burning fees to manage token issuance and keep inflation in check. Others, like BNB, intentionally burn tokens regularly to reduce supply and potentially push prices upward.

Token utility

Token utility refers to the use cases designed for a token and the different roles it can play inside its network. These often include:

Buying services on a network or paying gas fees, such as how ETH works on Ethereum and BNB on the BNB Chain.

Voting on how the network should evolve, like governance tokens that give holders a say in protocol decisions.

Locking tokens (staking) to help validate transactions and earn rewards (typical of Proof of Stake networks).

Representing ownership or shares of real-world assets, such as security tokens tied to stocks or real estate.

Knowing a token’s utility offers clues about how much demand it might have and how it could grow.

Token distribution

Aside from supply and demand, it’s important to look at distribution. How tokens get spread out when a project launches can impact how decentralized and stable it will be in the medium and long term.

There are two main types of token distribution:  

Fair launch: No private pre-sales or early allocations; tokens are made available to everyone at the same time. Bitcoin and Dogecoin were launched this way. This method helps ensure fairness and decentralization.

Pre-mining or pre-sale: Some tokens are set aside for founders, investors, or institutions before the public launch, as seen with many altcoins. While this helps fund development early on, it can concentrate ownership and increase the risk of large holders affecting the market.

Generally, you want to pay attention to how evenly a token is distributed. A few large organizations holding an outsized portion of a token are typically considered riskier.

You should also look at a token’s lock-up and release schedule to see if a large number of tokens will be placed into circulation, which often puts downward pressure on the token’s value.

Incentive structures

Good incentives are what keep networks secure and participants motivated. For example:

Bitcoin’s Proof of Work model rewards miners with both newly minted coins and transaction fees, encouraging them to keep processing blocks even as rewards shrink over time.

Proof of Stake lets validators lock tokens to earn the right to confirm transactions and get paid; if they cheat, they lose their stake, encouraging honest behavior.

Both models are designed to reward honest participants, which helps maintain the network healthy and secure.

In addition, there are DeFi platforms that offer interest or token rewards to users who lend, provide liquidity, or contribute to the project’s growth.

The Evolution of Tokenomics

Since Bitcoin’s simple but groundbreaking design, tokenomics has become far more diverse and complex. Early models focused on simple emission schedules and rewards. Today, projects experiment with dynamic supply policies, custom governance models, algorithmic stablecoins, NFTs, and tokenized real-world assets. Some may succeed; many will fail. And Bitcoin remains the most reliable and trusted model.

Tokenomics vs. Cryptoeconomics

Tokenomics and cryptoeconomics are related concepts, but not exactly the same. Tokenomics refers to the economic framework of a particular token or cryptocurrency, covering the aspects we discussed above: supply, allocation, utility, etc. 

In contrast, cryptoeconomics takes a wider approach by examining how blockchain networks use economic incentives and system design to maintain security, encourage decentralization, and support network operations.

Closing Thoughts

Tokenomics is a fundamental concept to understand if you want to get into crypto. It’s a term capturing the major factors affecting the value of a token or coin. 

By looking at supply dynamics, use cases, distribution, and incentive models, you can better judge whether a project is likely to succeed or not. No one factor tells the whole story, but having solid tokenomics is an important first step toward long-term success and network growth.

Further Reading

Game Theory and Cryptocurrencies

Bitcoin Halving Date: What Happens to Your Bitcoin After the Halving?

What Are Real World Assets (RWA) in DeFi and Crypto?

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China Officially Unveils Plan to Advance Its Own Payment System Amid rising global monetary tensions, China is stepping up its challenge to the dollar’s supremacy. Beijing has officially launched a strategic initiative to expand its own international payment network, marking a pivotal shift in the landscape of global financial flows and underscoring China’s drive for a multipolar economic system. By confronting Western-dominated financial channels head-on, this move is now drawing intense scrutiny from markets, governments, and major financial institutions worldwide. China rolls out an ambitious plan to boost its international payment system. Shanghai is set to become the operational hub for the development of the CIPS network, a direct competitor to SWIFT. The initiative seeks to increase the yuan’s role in cross-border transactions and enhance support for Chinese businesses abroad. It also aims to reduce the BRICS nations’ reliance on the US dollar and fortify their financial independence. #EconomicAlert #TariffImpact
China Officially Unveils Plan to Advance Its Own Payment System

Amid rising global monetary tensions, China is stepping up its challenge to the dollar’s supremacy. Beijing has officially launched a strategic initiative to expand its own international payment network, marking a pivotal shift in the landscape of global financial flows and underscoring China’s drive for a multipolar economic system. By confronting Western-dominated financial channels head-on, this move is now drawing intense scrutiny from markets, governments, and major financial institutions worldwide.

China rolls out an ambitious plan to boost its international payment system.

Shanghai is set to become the operational hub for the development of the CIPS network, a direct competitor to SWIFT.

The initiative seeks to increase the yuan’s role in cross-border transactions and enhance support for Chinese businesses abroad.

It also aims to reduce the BRICS nations’ reliance on the US dollar and fortify their financial independence.

#EconomicAlert
#TariffImpact
"The Economist warns that Bitcoin’s volatility and lack of inherent value make it an unreliable choice as a reserve asset." Economist Criticizes Bitcoin As A Reserve Asset A recent article from The Economist raises concerns about Bitcoin’s potential as a reserve asset. The publication argues that despite its appeal to some investors, Bitcoin's volatility, lack of inherent value, and uncertainty regarding its long-term stability make it an unreliable asset for reserve purposes. Traditional reserves like gold or fiat currencies are backed by established economies and institutions, offering a level of security that Bitcoin cannot provide at this time. The article suggests that while Bitcoin has gained traction in the financial world, its role as a reserve asset may remain limited. #EconomicAlert #bitcoin #Binance #NonFarmPayrollsImpact
"The Economist warns that Bitcoin’s volatility and lack of inherent value make it an unreliable choice as a reserve asset."

Economist Criticizes Bitcoin As A Reserve Asset

A recent article from The Economist raises concerns about Bitcoin’s potential as a reserve asset. The publication argues that despite its appeal to some investors, Bitcoin's volatility, lack of inherent value, and uncertainty regarding its long-term stability make it an unreliable asset for reserve purposes. Traditional reserves like gold or fiat currencies are backed by established economies and institutions, offering a level of security that Bitcoin cannot provide at this time. The article suggests that while Bitcoin has gained traction in the financial world, its role as a reserve asset may remain limited.
#EconomicAlert #bitcoin #Binance #NonFarmPayrollsImpact
Trump Dismisses Recession Concerns, Accepts Responsibility for Tariff Impact on Economy In a recent interview with NBC, President Donald Trump addressed economic concerns by downplaying the possibility of a recession during his term, characterizing the current U.S. economy as being in a "transitional period." The president expressed confidence in economic stability while acknowledging that a downturn remains possible. When questioned specifically about the potential economic impact of his tariff policies, Trump took a direct stance on accountability, stating that he would "ultimately be responsible for everything." This comment comes as his administration continues to implement and expand tariff measures that have sparked debate among economists and business leaders. The president's remarks reflect his continued confidence in his economic approach despite some analysts raising concerns about how increased tariffs could affect consumer prices, supply chains, and international trade relationships. Trump has long defended tariffs as a negotiating tool to secure better trade terms for American businesses and workers. Economic indicators have shown mixed signals in recent months, with strong employment numbers contrasting against inflation concerns and shifting consumer sentiment. As the administration moves forward with its economic agenda, markets will be closely monitoring both policy implementation and economic outcomes. The president's willingness to accept responsibility for the economic consequences of his policies represents a significant position as his second term progresses and his administration implements its economic vision. #EconomicAlert #TariffImpact
Trump Dismisses Recession Concerns, Accepts Responsibility for Tariff Impact on Economy

In a recent interview with NBC, President Donald Trump addressed economic concerns by downplaying the possibility of a recession during his term, characterizing the current U.S. economy as being in a "transitional period." The president expressed confidence in economic stability while acknowledging that a downturn remains possible.

When questioned specifically about the potential economic impact of his tariff policies, Trump took a direct stance on accountability, stating that he would "ultimately be responsible for everything." This comment comes as his administration continues to implement and expand tariff measures that have sparked debate among economists and business leaders.

The president's remarks reflect his continued confidence in his economic approach despite some analysts raising concerns about how increased tariffs could affect consumer prices, supply chains, and international trade relationships. Trump has long defended tariffs as a negotiating tool to secure better trade terms for American businesses and workers.

Economic indicators have shown mixed signals in recent months, with strong employment numbers contrasting against inflation concerns and shifting consumer sentiment. As the administration moves forward with its economic agenda, markets will be closely monitoring both policy implementation and economic outcomes.

The president's willingness to accept responsibility for the economic consequences of his policies represents a significant position as his second term progresses and his administration implements its economic vision.

#EconomicAlert #TariffImpact
NEAR Protocol (NEAR): Infrastructure for AI and L2 – an Undervalued Growth Candidate$NEAR is a Layer-1 blockchain (L1) designed for scalability, user-friendly applications, and future-focused integration. Its core features include the Nightshade sharding technology, human-readable addresses, and a highly active developer ecosystem. After peaking in 2021, NEAR experienced a sharp correction. However, by mid-2025, the network shows steady recovery. One key indicator is the Total Value Locked (TVL) across NEAR-based protocols, which has increased from $124 million in April to $173 million in May — a 40% rise, signaling renewed DeFi activity and inflow of liquidity. Moreover, NEAR is increasingly seen as a player in the AI segment, thanks to emerging projects that combine blockchain and artificial intelligence. The protocol is also pioneering chain abstraction — a concept aimed at simplifying cross-chain interaction. This makes $NEAR a strong candidate for future AI integrations. Current Market Overview (as of June 4, 2025) Price: $2.52Market Cap: $3.08 billion24h Volume: $151 millionMarket Rank: #34Outlook: NEAR is recovering from a drop to $2.25 but remains below key moving averages (50/100/200 SMA), limiting short-term momentum. Technical Analysis MACD: Bullish crossover suggests potential upward movementRSI: 53 — neutral territory, no overbought signalChart Pattern: "Cup and handle" forming on the daily chart, potential breakout above $2.73 with volume confirmationKey Resistance: $2.63, $2.73, $3.00Support Levels: $2.44, $2.25 A breakout and daily close above $2.73 would confirm the trend reversal and may accelerate price movement toward $3.00 and beyond. Fundamental Metrics TVL: $173M as of end-May (+40% from April lows)DEX Volume: $17M daily average (+101% QoQ growth)Developer Activity: -27.7% in Q1 2025 — a potential headwind for rapid innovation AI Potential and Infrastructure Narrative Chain Abstraction Layer: Simplifies user interaction across chains — ideal for AI app integrationL2 and Cross-Chain Focus: Strong foundational positioningKey Ecosystem Projects: Aurora (EVM compatibility), Octopus (modular appchains), Calimero (private chains) These elements form the basis for NEAR’s strategic role in powering future AI and interoperability solutions, especially if institutional interest in the AI sector intensifies. Conclusion $NEAR currently remains an underperformer compared to other top altcoins in 2025. This creates an attractive risk/reward profile. A confirmed breakout above $2.73 may trigger a rally toward $3.00 and higher. Its fundamentals remain solid, although the decline in developer activity is a point to watch. Slower implementation of key updates could act as a drag in the short term. Recommendation: Monitor trading volume, technical breakouts, and ecosystem updates. NEAR could emerge as a key AI infrastructure player if sector momentum continues. This article is for informational purposes only and does not constitute investment advice. Subscribe if you want to receive daily analytical breakdowns like this. It's the best way to support the continuation of this work. #NEAR🚀🚀🚀 #Near #EconomicAlert #Binance #analysis {spot}(NEARUSDT) {spot}(ETHUSDT) {spot}(BTCUSDT)

NEAR Protocol (NEAR): Infrastructure for AI and L2 – an Undervalued Growth Candidate

$NEAR is a Layer-1 blockchain (L1) designed for scalability, user-friendly applications, and future-focused integration. Its core features include the Nightshade sharding technology, human-readable addresses, and a highly active developer ecosystem.
After peaking in 2021, NEAR experienced a sharp correction. However, by mid-2025, the network shows steady recovery. One key indicator is the Total Value Locked (TVL) across NEAR-based protocols, which has increased from $124 million in April to $173 million in May — a 40% rise, signaling renewed DeFi activity and inflow of liquidity.
Moreover, NEAR is increasingly seen as a player in the AI segment, thanks to emerging projects that combine blockchain and artificial intelligence. The protocol is also pioneering chain abstraction — a concept aimed at simplifying cross-chain interaction. This makes $NEAR a strong candidate for future AI integrations.
Current Market Overview (as of June 4, 2025)
Price: $2.52Market Cap: $3.08 billion24h Volume: $151 millionMarket Rank: #34Outlook: NEAR is recovering from a drop to $2.25 but remains below key moving averages (50/100/200 SMA), limiting short-term momentum.
Technical Analysis
MACD: Bullish crossover suggests potential upward movementRSI: 53 — neutral territory, no overbought signalChart Pattern: "Cup and handle" forming on the daily chart, potential breakout above $2.73 with volume confirmationKey Resistance: $2.63, $2.73, $3.00Support Levels: $2.44, $2.25
A breakout and daily close above $2.73 would confirm the trend reversal and may accelerate price movement toward $3.00 and beyond.
Fundamental Metrics
TVL: $173M as of end-May (+40% from April lows)DEX Volume: $17M daily average (+101% QoQ growth)Developer Activity: -27.7% in Q1 2025 — a potential headwind for rapid innovation
AI Potential and Infrastructure Narrative
Chain Abstraction Layer: Simplifies user interaction across chains — ideal for AI app integrationL2 and Cross-Chain Focus: Strong foundational positioningKey Ecosystem Projects: Aurora (EVM compatibility), Octopus (modular appchains), Calimero (private chains)
These elements form the basis for NEAR’s strategic role in powering future AI and interoperability solutions, especially if institutional interest in the AI sector intensifies.
Conclusion
$NEAR currently remains an underperformer compared to other top altcoins in 2025. This creates an attractive risk/reward profile. A confirmed breakout above $2.73 may trigger a rally toward $3.00 and higher.
Its fundamentals remain solid, although the decline in developer activity is a point to watch. Slower implementation of key updates could act as a drag in the short term.
Recommendation: Monitor trading volume, technical breakouts, and ecosystem updates. NEAR could emerge as a key AI infrastructure player if sector momentum continues.
This article is for informational purposes only and does not constitute investment advice.
Subscribe if you want to receive daily analytical breakdowns like this. It's the best way to support the continuation of this work.

#NEAR🚀🚀🚀 #Near #EconomicAlert #Binance #analysis
Топ 10 крупнейших экономик мира 2025. 1. США 🇺🇸 - $30.5 триллионов 2. Китай 🇨🇳 - $19.2 триллионов 3. Германия 🇩🇪 - $4.74 триллионов 4. Индия 🇮🇳 - $4.187 триллионов 5. Япония 🇯🇵 - $4.186 триллионов 6. Великобритания 🇬🇧 - $3.83 триллионов 7. Франция 🇫🇷 - $3.21 триллионов 8. Италия 🇮🇹 - $2.42 триллионов 9. Канада 🇨🇦 - $2.22 триллионов 10. Бразилия 🇧🇷 - $2.12 триллионов #EconomicAlert #economy #TrumpTariffs #MarketRebound #SaylorBTCPurchase $BTC $ETH $XRP {spot}(BTCUSDT) {spot}(ETHUSDT) {spot}(XRPUSDT)
Топ 10 крупнейших экономик мира 2025.
1. США 🇺🇸 - $30.5 триллионов
2. Китай 🇨🇳 - $19.2 триллионов
3. Германия 🇩🇪 - $4.74 триллионов
4. Индия 🇮🇳 - $4.187 триллионов
5. Япония 🇯🇵 - $4.186 триллионов
6. Великобритания 🇬🇧 - $3.83 триллионов
7. Франция 🇫🇷 - $3.21 триллионов
8. Италия 🇮🇹 - $2.42 триллионов
9. Канада 🇨🇦 - $2.22 триллионов
10. Бразилия 🇧🇷 - $2.12 триллионов
#EconomicAlert #economy #TrumpTariffs #MarketRebound #SaylorBTCPurchase
$BTC $ETH $XRP
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