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Мінімальний ордер на будь-яку токенізовану акцію на Binance — 5 USDT, незалежно від ціни самої акції. Знято 28.09.2026 о 15:34 UTC з публічного API api.binance.com, 17 пар bStocks до USDT. У всіх 17 однакові параметри: мінімальна сума ордера 5 USDT, крок кількості 0.001 частки акції (у GMEB 0.01), крок ціни 0.01 USD. Що це означає на практиці. SPYB коштує 765.39 USD за частку, і 5 USDT дають 0.0065 частки. NFLXB коштує 69.53 USD, ті самі 5 USDT дають 0.072. Вхідний квиток однаковий, розмір купленої частки відрізняється в 11 разів. Крок 0.001 у грошах теж різний: на SPYB це 0.77 USD, на NFLXB — 0.07 USD. Чим дорожча акція, тим грубіший мінімальний крок докупки. Ліквідність між парами розходиться сильніше за ціну. За добу: CRCLB — 32.35M USD обігу і 87 667 угод, NVDAB — 10.94M і 90 965 угод, PLTRB — 0.08M і 1 590 угод. Між першим і останнім різниця в 400 разів за обігом. Це знімок неділі, коли NYSE і Nasdaq зачинені і арбітражу проти реальної акції немає. У робочий день числа будуть інші. Перевірити самому: Spot, потрібна пара, форма ордера показує мінімальну суму, а вкладка Order Book — реальну глибину. Це мій розрахунок за даними API, а не показник Binance. $NVDAB $SPYB $CRCLB #CreateWithBinance #Market_Update
Мінімальний ордер на будь-яку токенізовану акцію на Binance — 5 USDT, незалежно від ціни самої акції. Знято 28.09.2026 о 15:34 UTC з публічного API api.binance.com, 17 пар bStocks до USDT. У всіх 17 однакові параметри: мінімальна сума ордера 5 USDT, крок кількості 0.001 частки акції (у GMEB 0.01), крок ціни 0.01 USD. Що це означає на практиці. SPYB коштує 765.39 USD за частку, і 5 USDT дають 0.0065 частки. NFLXB коштує 69.53 USD, ті самі 5 USDT дають 0.072. Вхідний квиток однаковий, розмір купленої частки відрізняється в 11 разів. Крок 0.001 у грошах теж різний: на SPYB це 0.77 USD, на NFLXB — 0.07 USD. Чим дорожча акція, тим грубіший мінімальний крок докупки. Ліквідність між парами розходиться сильніше за ціну. За добу: CRCLB — 32.35M USD обігу і 87 667 угод, NVDAB — 10.94M і 90 965 угод, PLTRB — 0.08M і 1 590 угод. Між першим і останнім різниця в 400 разів за обігом. Це знімок неділі, коли NYSE і Nasdaq зачинені і арбітражу проти реальної акції немає. У робочий день числа будуть інші. Перевірити самому: Spot, потрібна пара, форма ордера показує мінімальну суму, а вкладка Order Book — реальну глибину. Це мій розрахунок за даними API, а не показник Binance. $NVDAB $SPYB $CRCLB #CreateWithBinance #Market_Update
QNT +29%. Shorts pay 0.08% a day. Contracts down 22% in 24h. Retail 41.4% long, the bottom of its 30-day range, above 50% on 25 of the last 30 days. Bids 291k vs asks 298k USD within 1% of mid. Spot up 29%. Bigger side: shorts on retail, longs on top traders. Crowded and paying side: shorts. HBAR +26%. Longs pay 0.03% a day. Contracts +45% in 24h. Retail 57.6% long, 49th percentile of its own 30-day range, above 50% on 17 of the last 30 days. Top traders 79.8% long, the widest skew here. Bids 1355k vs asks 1628k USD within 1% of mid, the deepest book here. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 26%. Bigger side: longs, retail and top traders. Real move, no crowding. SOON +18%. Longs pay 0.18% a day, 1.3% a week. Contracts flat in 24h. Retail 53.4% long, the bottom of its 30-day range, down from 62.7 yesterday, net long 30 of 30 days. Whole book within 1% of mid: 158k USD. No spot market. Bigger side: longs, retail and top traders, both narrow. Empty move, no fuel. NMR +16%. Shorts pay 0.69% a day, 4.8% a week, the steepest here. Contracts +146% in 24h. Retail 60.7% long, 65th percentile of its own 30-day range, net long 30 of 30 days. Top traders 62.8% long. Whole book within 1% of mid: 130k USD. Spot up 16%. Bigger side: longs, retail and top traders. Two sides, does not resolve. MARSCOIN +16%. Longs pay 0.03% a day. Contracts down 5% in 24h. Retail 53.7% long, the top of its 30-day range, up from 50.1 yesterday, above 50% on only 8 of the last 27 days. Top traders 77.8% long. Bids 104k vs asks 81k USD within 1% of mid. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 16%. Bigger side: longs, retail and top traders. Empty move, no fuel. $QNT $HBAR $SOON #Market_Update
QNT +29%. Shorts pay 0.08% a day. Contracts down 22% in 24h. Retail 41.4% long, the bottom of its 30-day range, above 50% on 25 of the last 30 days. Bids 291k vs asks 298k USD within 1% of mid. Spot up 29%. Bigger side: shorts on retail, longs on top traders. Crowded and paying side: shorts.

HBAR +26%. Longs pay 0.03% a day. Contracts +45% in 24h. Retail 57.6% long, 49th percentile of its own 30-day range, above 50% on 17 of the last 30 days. Top traders 79.8% long, the widest skew here. Bids 1355k vs asks 1628k USD within 1% of mid, the deepest book here. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 26%. Bigger side: longs, retail and top traders. Real move, no crowding.

SOON +18%. Longs pay 0.18% a day, 1.3% a week. Contracts flat in 24h. Retail 53.4% long, the bottom of its 30-day range, down from 62.7 yesterday, net long 30 of 30 days. Whole book within 1% of mid: 158k USD. No spot market. Bigger side: longs, retail and top traders, both narrow. Empty move, no fuel.

NMR +16%. Shorts pay 0.69% a day, 4.8% a week, the steepest here. Contracts +146% in 24h. Retail 60.7% long, 65th percentile of its own 30-day range, net long 30 of 30 days. Top traders 62.8% long. Whole book within 1% of mid: 130k USD. Spot up 16%. Bigger side: longs, retail and top traders. Two sides, does not resolve.

MARSCOIN +16%. Longs pay 0.03% a day. Contracts down 5% in 24h. Retail 53.7% long, the top of its 30-day range, up from 50.1 yesterday, above 50% on only 8 of the last 27 days. Top traders 77.8% long. Bids 104k vs asks 81k USD within 1% of mid. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 16%. Bigger side: longs, retail and top traders. Empty move, no fuel.
$QNT $HBAR $SOON #Market_Update
QNT +56%, second day in the top five. Longs pay 0.03% a day. Contracts +113% in 24h. Retail 41.7% long, the bottom of its 30-day range, down from 46.4 yesterday, above 50% on 26 of the last 30 days. Bids 475k vs asks 1380k USD within 1% of mid, the deepest book here. Spot up 56%. Bigger side: shorts, retail and top traders. Real move, no crowding. SOON +33%. Longs pay 0.33% a day, 2.3% a week, the steepest here. Contracts +40% in 24h. Retail 62.7% long, 73rd percentile of its own 30-day range, net long 30 of 30 days. Top traders 53.5% long. No spot market. Bigger side: longs, retail and top traders. Crowded and paying side: longs. ARX +29%. Longs pay 0.10% a day. Contracts +13% in 24h. Retail 68.6% long, 10th percentile of its own 30-day range, net long 30 of 30 days. Whole book within 1% of mid: 88k USD. No spot market. Bigger side: longs, retail and top traders. Real move, no crowding. GRASS +18%. Longs pay 0.03% a day. Contracts down 4% in 24h. Retail 64.4% long, 94th percentile of its own 30-day range, net long 30 of 30 days. Taker selling outweighed buying on 5 of the last 7 days. No spot market. Bigger side: longs, retail and top traders. Empty move, no fuel. W +15%. Longs pay 0.03% a day. Contracts +87% in 24h. Retail 61.4% long, 70th percentile of its own 30-day range, net long 30 of 30 days. Bids 134k vs asks 53k USD within 1% of mid. Spot up 16%. Bigger side: longs, retail and top traders. Real move, no crowding. $QNT $SOON $GRASS #Market_Update
QNT +56%, second day in the top five. Longs pay 0.03% a day. Contracts +113% in 24h. Retail 41.7% long, the bottom of its 30-day range, down from 46.4 yesterday, above 50% on 26 of the last 30 days. Bids 475k vs asks 1380k USD within 1% of mid, the deepest book here. Spot up 56%. Bigger side: shorts, retail and top traders. Real move, no crowding.

SOON +33%. Longs pay 0.33% a day, 2.3% a week, the steepest here. Contracts +40% in 24h. Retail 62.7% long, 73rd percentile of its own 30-day range, net long 30 of 30 days. Top traders 53.5% long. No spot market. Bigger side: longs, retail and top traders. Crowded and paying side: longs.

ARX +29%. Longs pay 0.10% a day. Contracts +13% in 24h. Retail 68.6% long, 10th percentile of its own 30-day range, net long 30 of 30 days. Whole book within 1% of mid: 88k USD. No spot market. Bigger side: longs, retail and top traders. Real move, no crowding.

GRASS +18%. Longs pay 0.03% a day. Contracts down 4% in 24h. Retail 64.4% long, 94th percentile of its own 30-day range, net long 30 of 30 days. Taker selling outweighed buying on 5 of the last 7 days. No spot market. Bigger side: longs, retail and top traders. Empty move, no fuel.

W +15%. Longs pay 0.03% a day. Contracts +87% in 24h. Retail 61.4% long, 70th percentile of its own 30-day range, net long 30 of 30 days. Bids 134k vs asks 53k USD within 1% of mid. Spot up 16%. Bigger side: longs, retail and top traders. Real move, no crowding.
$QNT $SOON $GRASS #Market_Update
PHA +57%. Shorts pay 0.46% a day, 3.2% a week, the steepest here. Contracts +99% in 24h. Retail 48.1% long, 26th percentile of its own 30-day range, up from 41.2 yesterday. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 56%. Bigger side: shorts on retail, longs on top traders. Crowded and paying side: shorts. ARK +27%. Longs pay 0.03% a day. Contracts +45% in 24h. Retail 44.4% long, 32nd percentile of its own 30-day range, up from 37.4 yesterday. Taker selling outweighed buying on 6 of the last 7 days. Spot up 27%. Bigger side: shorts on retail, longs on top traders, both narrow. Real move, no crowding. NIL +19%. Longs pay 0.03% a day. Contracts down 4% in 24h. Retail 45.7% long, 41st percentile of its own 30-day range, above 50% on only 8 of the last 30 days. Top traders 61.3% long. Spot up 19%. Bigger side: shorts on retail, longs on top traders. Empty move, no fuel. QNT +18%. Funding flat. Contracts +79% in 24h. Retail 55.7% long, 83rd percentile of its own 30-day range, above 50% on 28 of the last 30 days. Taker selling outweighed buying on 6 of the last 7 days. Spot up 18%. Bigger side: longs, retail and top traders. Real move, no crowding. ENA +18%. Longs pay 0.03% a day. Contracts +3% in 24h. Retail 65.1% long, 89th percentile of its own 30-day range, net long 30 of 30 days. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 18%. Bigger side: longs, retail and top traders. Crowded and paying side: longs. $QNT $ENA $NIL #Market_Update
PHA +57%. Shorts pay 0.46% a day, 3.2% a week, the steepest here. Contracts +99% in 24h. Retail 48.1% long, 26th percentile of its own 30-day range, up from 41.2 yesterday. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 56%. Bigger side: shorts on retail, longs on top traders. Crowded and paying side: shorts.

ARK +27%. Longs pay 0.03% a day. Contracts +45% in 24h. Retail 44.4% long, 32nd percentile of its own 30-day range, up from 37.4 yesterday. Taker selling outweighed buying on 6 of the last 7 days. Spot up 27%. Bigger side: shorts on retail, longs on top traders, both narrow. Real move, no crowding.

NIL +19%. Longs pay 0.03% a day. Contracts down 4% in 24h. Retail 45.7% long, 41st percentile of its own 30-day range, above 50% on only 8 of the last 30 days. Top traders 61.3% long. Spot up 19%. Bigger side: shorts on retail, longs on top traders. Empty move, no fuel.

QNT +18%. Funding flat. Contracts +79% in 24h. Retail 55.7% long, 83rd percentile of its own 30-day range, above 50% on 28 of the last 30 days. Taker selling outweighed buying on 6 of the last 7 days. Spot up 18%. Bigger side: longs, retail and top traders. Real move, no crowding.

ENA +18%. Longs pay 0.03% a day. Contracts +3% in 24h. Retail 65.1% long, 89th percentile of its own 30-day range, net long 30 of 30 days. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 18%. Bigger side: longs, retail and top traders. Crowded and paying side: longs.
$QNT $ENA $NIL #Market_Update
XAI +48%. Shorts pay 0.28% a day, 1.9% a week, the steepest here. Contracts +110% in 24h. Retail 75.0% long, 75th percentile of its own 30-day range, net long 30 of 30 days. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 47%. Bigger side: longs, retail and top traders. Crowded and paying side: shorts. LSK +34%. Longs pay 0.02% a day. Contracts +5% in 24h. Retail 57.3% long, 58th percentile of its own 30-day range, above 50% on 27 of the last 30 days. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 34%. Bigger side: longs, retail and top traders. Empty move, no fuel. BROCCOLI714 +32%. Longs pay 0.03% a day. Contracts +107% in 24h. Retail 61.3% long, 63rd percentile of its own 30-day range, down from 71.7 yesterday. Top traders 79.1% long, the widest skew here. Spot up 32%. Bigger side: longs, retail and top traders. Real move, no crowding. NOM +29%. Longs pay 0.03% a day. Contracts +54% in 24h. Retail 72.5% long, 74th percentile of its own 30-day range, net long 30 of 30 days. Whole book within 1% of mid: 151k USD. Spot up 28%. Bigger side: longs, retail and top traders. Real move, no crowding. ONDO +25%. Longs pay 0.03% a day. Contracts +70% in 24h. Retail 63.9% long, 70th percentile of its own 30-day range. Bids 1093k vs asks 1254k USD within 1% of mid, the deepest book here. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 25%. Bigger side: longs, retail and top traders. Real move, no crowding. $ONDO $LSK $NOM #Market_Update
XAI +48%. Shorts pay 0.28% a day, 1.9% a week, the steepest here. Contracts +110% in 24h. Retail 75.0% long, 75th percentile of its own 30-day range, net long 30 of 30 days. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 47%. Bigger side: longs, retail and top traders. Crowded and paying side: shorts.

LSK +34%. Longs pay 0.02% a day. Contracts +5% in 24h. Retail 57.3% long, 58th percentile of its own 30-day range, above 50% on 27 of the last 30 days. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 34%. Bigger side: longs, retail and top traders. Empty move, no fuel.

BROCCOLI714 +32%. Longs pay 0.03% a day. Contracts +107% in 24h. Retail 61.3% long, 63rd percentile of its own 30-day range, down from 71.7 yesterday. Top traders 79.1% long, the widest skew here. Spot up 32%. Bigger side: longs, retail and top traders. Real move, no crowding.

NOM +29%. Longs pay 0.03% a day. Contracts +54% in 24h. Retail 72.5% long, 74th percentile of its own 30-day range, net long 30 of 30 days. Whole book within 1% of mid: 151k USD. Spot up 28%. Bigger side: longs, retail and top traders. Real move, no crowding.

ONDO +25%. Longs pay 0.03% a day. Contracts +70% in 24h. Retail 63.9% long, 70th percentile of its own 30-day range. Bids 1093k vs asks 1254k USD within 1% of mid, the deepest book here. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 25%. Bigger side: longs, retail and top traders. Real move, no crowding.
$ONDO $LSK $NOM
#Market_Update
TAKE +210%. Longs pay 0.03% a day. Contracts +64% in 24h. Retail 76.9% long, 90th percentile of its own 30-day range, net long 30 of 30 days. Bids 42k vs asks 232k USD within 1% of mid. No spot market. Bigger side: longs, retail and top traders. Crowded and paying side: longs. MET +34%. Shorts pay 0.02% a day. Contracts +32% in 24h. Retail 62.4% long, 96th percentile of its own 30-day range, up from 59.0 yesterday. Spot up 34%. Bigger side: longs, retail and top traders. Crowded and paying side: shorts. ALLO +31%. Longs pay 0.03% a day. Contracts flat in 24h. Retail 37.0% long, 55th percentile of its own 30-day range, below 50% on all 30 of the last 30 days. Bids 74k vs asks 50k USD within 1% of mid. Spot up 31%. Bigger side: shorts on retail, longs on top traders. Empty move, no fuel. CHR +28%. Shorts pay 0.35% a day, 2.4% a week, the steepest here. Contracts +97% in 24h. Retail 66.3% long, the bottom of its 30-day range, down from 73.9 yesterday, net long 30 of 30 days. Whole book within 1% of mid: 71k USD. Spot up 29%. Bigger side: longs, retail and top traders. Crowded and paying side: shorts. BCH +28%. Longs pay 0.03% a day. Contracts +85% in 24h. Retail 59.1% long, 46th percentile of its own 30-day range, net long 30 of 30 days. Bids 1167k vs asks 1341k USD within 1% of mid, the deepest book here. Spot up 28%. Bigger side: longs, retail and top traders. Real move, no crowding. $BCH $TAKE $CHR #Market_Update
TAKE +210%. Longs pay 0.03% a day. Contracts +64% in 24h. Retail 76.9% long, 90th percentile of its own 30-day range, net long 30 of 30 days. Bids 42k vs asks 232k USD within 1% of mid. No spot market. Bigger side: longs, retail and top traders. Crowded and paying side: longs.

MET +34%. Shorts pay 0.02% a day. Contracts +32% in 24h. Retail 62.4% long, 96th percentile of its own 30-day range, up from 59.0 yesterday. Spot up 34%. Bigger side: longs, retail and top traders. Crowded and paying side: shorts.

ALLO +31%. Longs pay 0.03% a day. Contracts flat in 24h. Retail 37.0% long, 55th percentile of its own 30-day range, below 50% on all 30 of the last 30 days. Bids 74k vs asks 50k USD within 1% of mid. Spot up 31%. Bigger side: shorts on retail, longs on top traders. Empty move, no fuel.

CHR +28%. Shorts pay 0.35% a day, 2.4% a week, the steepest here. Contracts +97% in 24h. Retail 66.3% long, the bottom of its 30-day range, down from 73.9 yesterday, net long 30 of 30 days. Whole book within 1% of mid: 71k USD. Spot up 29%. Bigger side: longs, retail and top traders. Crowded and paying side: shorts.

BCH +28%. Longs pay 0.03% a day. Contracts +85% in 24h. Retail 59.1% long, 46th percentile of its own 30-day range, net long 30 of 30 days. Bids 1167k vs asks 1341k USD within 1% of mid, the deepest book here. Spot up 28%. Bigger side: longs, retail and top traders. Real move, no crowding.
$BCH $TAKE $CHR
#Market_Update
ZETA +65%. Longs pay 0.03% a day. Contracts +267% in 24h. Retail 73.8% long, 86th percentile of its own 30-day range, net long 30 of 30 days. Taker selling outweighed buying on 6 of the last 7 days. No spot market. Bigger side: longs, retail and top traders. Crowded and paying side: longs. MUBARAK +43%. Longs pay 0.08% a day. Contracts +16% in 24h. Retail 47.3% long, 79th percentile of its own 30-day range, above 50% on only 3 of the last 30 days. Taker selling outweighed buying on 6 of the last 7 days. Spot up 43%. Bigger side: shorts on retail, longs on top traders. Real move, no crowding. PHA +43%. Funding flat. Contracts +125% in 24h. Retail 64.0% long, 34th percentile of its own 30-day range, above 50% on 28 of the last 30 days. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 43%. Bigger side: longs, retail and top traders. Real move, no crowding. UAI +40%. Longs pay 0.26% a day, 1.8% a week, the steepest here. Contracts +7% in 24h. Retail 45.0% long, 21st percentile of its own 30-day range, down from 49.4 yesterday. Taker selling outweighed buying on 6 of the last 7 days. No spot market. Bigger side: shorts on retail, longs on top traders. Two sides, does not resolve. NIL +33%. Longs pay 0.03% a day. Contracts +66% in 24h. Retail 57.1% long, 97th percentile of its own 30-day range, above 50% on only 5 of the last 30 days. Spot up 33%. Bigger side: longs, retail and top traders. Crowded and paying side: longs. $ZETA $PHA $NIL #Market_Update
ZETA +65%. Longs pay 0.03% a day. Contracts +267% in 24h. Retail 73.8% long, 86th percentile of its own 30-day range, net long 30 of 30 days. Taker selling outweighed buying on 6 of the last 7 days. No spot market. Bigger side: longs, retail and top traders. Crowded and paying side: longs.

MUBARAK +43%. Longs pay 0.08% a day. Contracts +16% in 24h. Retail 47.3% long, 79th percentile of its own 30-day range, above 50% on only 3 of the last 30 days. Taker selling outweighed buying on 6 of the last 7 days. Spot up 43%. Bigger side: shorts on retail, longs on top traders. Real move, no crowding.

PHA +43%. Funding flat. Contracts +125% in 24h. Retail 64.0% long, 34th percentile of its own 30-day range, above 50% on 28 of the last 30 days. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 43%. Bigger side: longs, retail and top traders. Real move, no crowding.

UAI +40%. Longs pay 0.26% a day, 1.8% a week, the steepest here. Contracts +7% in 24h. Retail 45.0% long, 21st percentile of its own 30-day range, down from 49.4 yesterday. Taker selling outweighed buying on 6 of the last 7 days. No spot market. Bigger side: shorts on retail, longs on top traders. Two sides, does not resolve.

NIL +33%. Longs pay 0.03% a day. Contracts +66% in 24h. Retail 57.1% long, 97th percentile of its own 30-day range, above 50% on only 5 of the last 30 days. Spot up 33%. Bigger side: longs, retail and top traders. Crowded and paying side: longs.

$ZETA $PHA $NIL
#Market_Update
CELR +51%. Shorts pay 3.5% a day, 24.3% a week. Contracts +160% in 24h. Retail 68.4% long, the bottom of its 30-day range, down from 72.4 yesterday, net long 30 of 30 days. Spot up 51%. Bigger side: longs, retail and top traders. Crowded and paying side: shorts. EPIC +23%. Longs pay 0.03% a day. Contracts +29% in 24h. Retail 49.6% long, the top of its 30-day range, up from 44.9 yesterday, below 50% on all 30 of the last 30 days. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 23%. Bigger side: shorts on retail, longs on top traders. Real move, no crowding. SAGA +23%. Funding flat. Contracts +5% in 24h. Retail 62.2% long, 7th percentile of its own 30-day range, net long 30 of 30 days. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 23%. Bigger side: longs, retail and top traders. Empty move, no fuel. PTB +21%. Longs pay 0.03% a day. Contracts +23% in 24h. Retail 83.3% long, the top of its 30-day range, up from 81.8 yesterday, net long 30 of 30 days. Bids 31k vs asks 17k USD within 1% of mid. No spot market. Bigger side: longs, retail and top traders. Crowded and paying side: longs. AVAX +19%. Longs pay 0.03% a day. Contracts +10% in 24h. Retail 71.0% long, 79th percentile of its own 30-day range, net long 30 of 30 days. Bids 1438k vs asks 1334k USD within 1% of mid, the deepest book here. Spot up 18%. Bigger side: longs, retail and top traders. Real move, no crowding. $AVAX $CELR $EPIC #Market_Update
CELR +51%. Shorts pay 3.5% a day, 24.3% a week. Contracts +160% in 24h. Retail 68.4% long, the bottom of its 30-day range, down from 72.4 yesterday, net long 30 of 30 days. Spot up 51%. Bigger side: longs, retail and top traders. Crowded and paying side: shorts.

EPIC +23%. Longs pay 0.03% a day. Contracts +29% in 24h. Retail 49.6% long, the top of its 30-day range, up from 44.9 yesterday, below 50% on all 30 of the last 30 days. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 23%. Bigger side: shorts on retail, longs on top traders. Real move, no crowding.

SAGA +23%. Funding flat. Contracts +5% in 24h. Retail 62.2% long, 7th percentile of its own 30-day range, net long 30 of 30 days. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 23%. Bigger side: longs, retail and top traders. Empty move, no fuel.

PTB +21%. Longs pay 0.03% a day. Contracts +23% in 24h. Retail 83.3% long, the top of its 30-day range, up from 81.8 yesterday, net long 30 of 30 days. Bids 31k vs asks 17k USD within 1% of mid. No spot market. Bigger side: longs, retail and top traders. Crowded and paying side: longs.

AVAX +19%. Longs pay 0.03% a day. Contracts +10% in 24h. Retail 71.0% long, 79th percentile of its own 30-day range, net long 30 of 30 days. Bids 1438k vs asks 1334k USD within 1% of mid, the deepest book here. Spot up 18%. Bigger side: longs, retail and top traders. Real move, no crowding.

$AVAX $CELR $EPIC
#Market_Update
AKE +168%. Longs pay 0.12% a day. Contracts +8% in 24h. Retail 34.7% long, 7th percentile of its own 30-day range, down from 45.8 yesterday, below 50% on all 30 of the last 30 days. Bids 92k vs asks 173k USD within 1% of mid. No spot market. Bigger side: shorts, retail and top traders. Two sides, does not resolve. G +58%. Longs pay 0.23% a day. Contracts +235% in 24h. Retail 44.8% long, the bottom of its 30-day range, down from 63.1 yesterday, above 50% on 28 of the last 30 days. Spot up 59%. Bigger side: shorts on retail, longs on top traders. Real move, no crowding. AR +53%. Longs pay 0.03% a day. Contracts +23% in 24h. Retail 63.3% long, 97th percentile of its own 30-day range, net long 30 of 30 days. Taker selling outweighed buying on 6 of the last 7 days. Spot up 54%. Bigger side: longs, retail and top traders. Crowded and paying side: longs. PIEVERSE +51%. Longs pay 0.18% a day. Contracts +1% in 24h. Retail 50.2% long, 21st percentile of its own 30-day range, above 50% on 24 of the last 30 days. Taker selling outweighed buying on 6 of the last 7 days. No spot market. Bigger side: longs, retail and top traders. Empty move, no fuel. MYX +44%. Longs pay 0.11% a day. Contracts +65% in 24h. Retail 77.3% long, the bottom of its 30-day range, down from 81.4 yesterday, net long 30 of 30 days. Taker selling outweighed buying on all 7 of the last 7 days. Whole book within 1% of mid: 46k USD. No spot market. Bigger side: longs, retail and top traders. Crowded and paying side: longs. $G $AKE $MYX #Market_Update
AKE +168%. Longs pay 0.12% a day. Contracts +8% in 24h. Retail 34.7% long, 7th percentile of its own 30-day range, down from 45.8 yesterday, below 50% on all 30 of the last 30 days. Bids 92k vs asks 173k USD within 1% of mid. No spot market. Bigger side: shorts, retail and top traders. Two sides, does not resolve.

G +58%. Longs pay 0.23% a day. Contracts +235% in 24h. Retail 44.8% long, the bottom of its 30-day range, down from 63.1 yesterday, above 50% on 28 of the last 30 days. Spot up 59%. Bigger side: shorts on retail, longs on top traders. Real move, no crowding.

AR +53%. Longs pay 0.03% a day. Contracts +23% in 24h. Retail 63.3% long, 97th percentile of its own 30-day range, net long 30 of 30 days. Taker selling outweighed buying on 6 of the last 7 days. Spot up 54%. Bigger side: longs, retail and top traders. Crowded and paying side: longs.

PIEVERSE +51%. Longs pay 0.18% a day. Contracts +1% in 24h. Retail 50.2% long, 21st percentile of its own 30-day range, above 50% on 24 of the last 30 days. Taker selling outweighed buying on 6 of the last 7 days. No spot market. Bigger side: longs, retail and top traders. Empty move, no fuel.

MYX +44%. Longs pay 0.11% a day. Contracts +65% in 24h. Retail 77.3% long, the bottom of its 30-day range, down from 81.4 yesterday, net long 30 of 30 days. Taker selling outweighed buying on all 7 of the last 7 days. Whole book within 1% of mid: 46k USD. No spot market. Bigger side: longs, retail and top traders. Crowded and paying side: longs.

$G $AKE $MYX
#Market_Update
ONE +57%, second day in the top five. Shorts pay 5.5% a day, 38.5% a week, the steepest here. Contracts +3% in 24h. Retail 48.6% long, the bottom of its 30-day range, down from 61.1 yesterday, above 50% on 29 of the last 30 days. Spot up 56%. Bigger side: shorts on retail, longs on top traders, both narrow. Crowded and paying side: shorts. AVA +36%, second day in the top five. Shorts pay 4.0% a day, 27.9% a week. Contracts +84% in 24h. Retail 48.2% long, the bottom of its 30-day range, down from 58.4 yesterday, above 50% on 29 of the last 30 days. Spot up 37%. Bigger side: shorts, retail and top traders, both narrow. Crowded and paying side: shorts. NEAR +32%. Longs pay 0.03% a day. Contracts +17% in 24h. Retail 61.6% long, 43rd percentile of its own 30-day range, net long 30 of 30 days. Bids 2141k vs asks 2131k USD within 1% of mid, the deepest book here. Spot up 32%. Bigger side: longs, retail and top traders. Real move, no crowding. DRIFT +28%. Longs pay 0.03% a day. Contracts +44% in 24h. Retail 78.3% long, the bottom of its 30-day range, down from 82.4 yesterday, net long 30 of 30 days. Whole book within 1% of mid: 38k USD. No spot market. Bigger side: longs, retail and top traders. Crowded and paying side: longs. COTI +31%. Funding flat. Contracts +18% in 24h. Retail 53.7% long, 86th percentile of its own 30-day range, up from 44.5 yesterday, above 50% on only 5 of the last 30 days. Spot up 30%. Bigger side: longs, retail and top traders, both narrow. Real move, no crowding. $NEAR $ONE $AVA #Market_Update
ONE +57%, second day in the top five. Shorts pay 5.5% a day, 38.5% a week, the steepest here. Contracts +3% in 24h. Retail 48.6% long, the bottom of its 30-day range, down from 61.1 yesterday, above 50% on 29 of the last 30 days. Spot up 56%. Bigger side: shorts on retail, longs on top traders, both narrow. Crowded and paying side: shorts.

AVA +36%, second day in the top five. Shorts pay 4.0% a day, 27.9% a week. Contracts +84% in 24h. Retail 48.2% long, the bottom of its 30-day range, down from 58.4 yesterday, above 50% on 29 of the last 30 days. Spot up 37%. Bigger side: shorts, retail and top traders, both narrow. Crowded and paying side: shorts.

NEAR +32%. Longs pay 0.03% a day. Contracts +17% in 24h. Retail 61.6% long, 43rd percentile of its own 30-day range, net long 30 of 30 days. Bids 2141k vs asks 2131k USD within 1% of mid, the deepest book here. Spot up 32%. Bigger side: longs, retail and top traders. Real move, no crowding.

DRIFT +28%. Longs pay 0.03% a day. Contracts +44% in 24h. Retail 78.3% long, the bottom of its 30-day range, down from 82.4 yesterday, net long 30 of 30 days. Whole book within 1% of mid: 38k USD. No spot market. Bigger side: longs, retail and top traders. Crowded and paying side: longs.

COTI +31%. Funding flat. Contracts +18% in 24h. Retail 53.7% long, 86th percentile of its own 30-day range, up from 44.5 yesterday, above 50% on only 5 of the last 30 days. Spot up 30%. Bigger side: longs, retail and top traders, both narrow. Real move, no crowding.
$NEAR $ONE $AVA
#Market_Update
BR +182%. Longs pay 0.18% a day. Contracts +44% in 24h. Retail 22.6% long, the bottom of its 30-day range, down from 54.0 yesterday, above 50% on only 5 of the last 30 days. No spot market. Bigger side: shorts on retail, longs on top traders. Two sides, does not resolve. ONE +71%. Longs pay 0.02% a day, the ceiling for this contract. Contracts +65% in 24h. Retail 61.1% long, 58th percentile of its own 30-day range, net long 30 of 30 days. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 89%, more than the perp. Bigger side: longs, retail and top traders. Crowded and paying side: longs. SYN +58%, second day in the top five. Funding flat. Contracts +18% in 24h. Retail 38.0% long, 24th percentile of its own 30-day range, down from 50.7 yesterday. Spot up 58%. Bigger side: shorts, retail and top traders. Real move, no crowding. BULLA +58%. Longs pay 0.03% a day. Contracts -16% in 24h, the only one here falling. Retail 49.7% long, 40th percentile of its own 30-day range, down from 55.6 yesterday. Whole book within 1% of mid: 52k USD. No spot market. Bigger side: shorts, retail and top traders, both narrow. Empty move, no fuel. AVA +44%. Shorts pay 3.1% a day, 22.0% a week, the steepest here. Contracts +88% in 24h. Retail 58.4% long, 21st percentile of its own 30-day range, net long 30 of 30 days. Spot up 46%. Bigger side: longs, retail and top traders. Crowded and paying side: shorts. $BR $SYN $BULLA #Market_Update
BR +182%. Longs pay 0.18% a day. Contracts +44% in 24h. Retail 22.6% long, the bottom of its 30-day range, down from 54.0 yesterday, above 50% on only 5 of the last 30 days. No spot market. Bigger side: shorts on retail, longs on top traders. Two sides, does not resolve.

ONE +71%. Longs pay 0.02% a day, the ceiling for this contract. Contracts +65% in 24h. Retail 61.1% long, 58th percentile of its own 30-day range, net long 30 of 30 days. Taker selling outweighed buying on all 7 of the last 7 days. Spot up 89%, more than the perp. Bigger side: longs, retail and top traders. Crowded and paying side: longs.

SYN +58%, second day in the top five. Funding flat. Contracts +18% in 24h. Retail 38.0% long, 24th percentile of its own 30-day range, down from 50.7 yesterday. Spot up 58%. Bigger side: shorts, retail and top traders. Real move, no crowding.

BULLA +58%. Longs pay 0.03% a day. Contracts -16% in 24h, the only one here falling. Retail 49.7% long, 40th percentile of its own 30-day range, down from 55.6 yesterday. Whole book within 1% of mid: 52k USD. No spot market. Bigger side: shorts, retail and top traders, both narrow. Empty move, no fuel.

AVA +44%. Shorts pay 3.1% a day, 22.0% a week, the steepest here. Contracts +88% in 24h. Retail 58.4% long, 21st percentile of its own 30-day range, net long 30 of 30 days. Spot up 46%. Bigger side: longs, retail and top traders. Crowded and paying side: shorts.
$BR $SYN $BULLA
#Market_Update
Дві третини обігу токенізованих акцій проходить поза годинами роботи Nasdaq. Годинні свічки Binance Spot, 168 годин, зняті 16.09.2026 о 04:00 UTC. Сесією рахую 14:00-20:00 UTC у будні: 30 годин зі 168, тобто 17.9% часу. Частка тижневого обігу, що припадає на ці 30 годин: TSLAB 35.4%, CRCLB 34.9%, SNDKB 34.3%, GOOGLB 30.4%, QQQB 30.0%, NVDAB 28.5%, MSTRB 25.8%, SOXLB 16.0%. У перерахунку на одну годину: SNDKB 1186k USD у сесії проти 494k поза нею, CRCLB 1009k проти 410k, NVDAB 324k проти 177k. Інтенсивність у сесії вища у 1.6-2.5 раза, але сама сесія займає менше п'ятої частини тижня, тому в абсолютних числах 65-74% обігу лишається зовні. Виняток - SOXLB, токен на потрійне плече: 16.0% обігу за 17.9% часу, тобто поза сесією він торгується навіть активніше. Окремої версії, чому так, не маю. Книга о 16:00 UTC і книга о 03:00 UTC - це різні книги, приблизно вдвічі за щільністю потоку. Вибірка мала: 8 тікерів, один тиждень. $SNDKB $CRCLB $SOXLB #CreateWithBinance #Market_Update
Дві третини обігу токенізованих акцій проходить поза годинами роботи Nasdaq.

Годинні свічки Binance Spot, 168 годин, зняті 16.09.2026 о 04:00 UTC. Сесією рахую 14:00-20:00 UTC у будні: 30 годин зі 168, тобто 17.9% часу.

Частка тижневого обігу, що припадає на ці 30 годин: TSLAB 35.4%, CRCLB 34.9%, SNDKB 34.3%, GOOGLB 30.4%, QQQB 30.0%, NVDAB 28.5%, MSTRB 25.8%, SOXLB 16.0%.

У перерахунку на одну годину: SNDKB 1186k USD у сесії проти 494k поза нею, CRCLB 1009k проти 410k, NVDAB 324k проти 177k. Інтенсивність у сесії вища у 1.6-2.5 раза, але сама сесія займає менше п'ятої частини тижня, тому в абсолютних числах 65-74% обігу лишається зовні.

Виняток - SOXLB, токен на потрійне плече: 16.0% обігу за 17.9% часу, тобто поза сесією він торгується навіть активніше. Окремої версії, чому так, не маю.

Книга о 16:00 UTC і книга о 03:00 UTC - це різні книги, приблизно вдвічі за щільністю потоку. Вибірка мала: 8 тікерів, один тиждень.

$SNDKB $CRCLB $SOXLB
#CreateWithBinance #Market_Update
AKE +63%. Longs pay 0.10% a day. Contracts +27% in 24h. Retail 37.3% long, 33rd percentile of its own 30-day range, below 50% on all 30 of the last 30 days. No spot market. Bigger side: shorts, retail and top traders. Real move, no crowding. LSK +30%. Shorts pay 2.3% a day, 16.4% a week, the steepest here. Contracts +8% in 24h. Retail 62.2% long, 71st percentile of its own 30-day range, above 50% on 28 of the last 30 days. Spot up 33%. Bigger side: longs on retail, shorts on top traders. Two sides, does not resolve. SYN +34%. Funding flat. Contracts +40% in 24h. Retail 50.7% long, 85th percentile of its own 30-day range, above 50% on only 3 of the last 30 days. Taker selling outweighed buying on 6 of the last 7 days. Spot up 32%. Bigger side: longs, retail and top traders. Real move, no crowding. 龙虾 +28%, second day in the top five. Longs pay 0.08% a day. Contracts flat in 24h. Retail 29.7% long, 11th percentile of its own 30-day range, below 50% on 20 of the last 30 days. No spot market. Bigger side: shorts on retail, longs on top traders. Empty move, no fuel. VTHO +20%. Shorts pay 1.9% a day, 13.1% a week. Contracts -12% in 24h, the only one here falling. Retail 47.2% long, 9th percentile of its own 30-day range, above 50% on 27 of the last 30 days. Spot up 20%. Bigger side: shorts on retail, longs on top traders, both narrow. Crowded and paying side: shorts. $LSK $AKE $龙虾 #Market_Update
AKE +63%. Longs pay 0.10% a day. Contracts +27% in 24h. Retail 37.3% long, 33rd percentile of its own 30-day range, below 50% on all 30 of the last 30 days. No spot market. Bigger side: shorts, retail and top traders. Real move, no crowding.

LSK +30%. Shorts pay 2.3% a day, 16.4% a week, the steepest here. Contracts +8% in 24h. Retail 62.2% long, 71st percentile of its own 30-day range, above 50% on 28 of the last 30 days. Spot up 33%. Bigger side: longs on retail, shorts on top traders. Two sides, does not resolve.

SYN +34%. Funding flat. Contracts +40% in 24h. Retail 50.7% long, 85th percentile of its own 30-day range, above 50% on only 3 of the last 30 days. Taker selling outweighed buying on 6 of the last 7 days. Spot up 32%. Bigger side: longs, retail and top traders. Real move, no crowding.

龙虾 +28%, second day in the top five. Longs pay 0.08% a day. Contracts flat in 24h. Retail 29.7% long, 11th percentile of its own 30-day range, below 50% on 20 of the last 30 days. No spot market. Bigger side: shorts on retail, longs on top traders. Empty move, no fuel.

VTHO +20%. Shorts pay 1.9% a day, 13.1% a week. Contracts -12% in 24h, the only one here falling. Retail 47.2% long, 9th percentile of its own 30-day range, above 50% on 27 of the last 30 days. Spot up 20%. Bigger side: shorts on retail, longs on top traders, both narrow. Crowded and paying side: shorts.

$LSK $AKE $龙虾
#Market_Update
POWER +66%. Longs pay 0.08% a day. Contracts +13% in 24h. Retail 72.2% long, 7th percentile of its own 30-day range, net long 30 of 30 days. Taker selling outweighed buying on all 7 of the last 7 days. No spot market. Bigger side: longs, retail and top traders. Real move, no crowding. AIN +79%, second day in the top five. Longs pay 0.03% a day. Contracts +48% in 24h. Retail 47.1% long, the bottom of its 30-day range, down from 69.1 yesterday, above 50% on 29 of the last 30 days. No spot market. Bigger side: shorts on retail, longs on top traders. Real move, no crowding. CAP +32%. Shorts pay 6.2% a day, 43.1% a week, the steepest here. Contracts +8% in 24h. Retail 56.3% long, 91st percentile of its own 30-day range, above 50% on only 7 of the last 30 days. No spot market. Bigger side: longs, retail and top traders, both narrow. Crowded and paying side: shorts. 龙虾 +26%. Longs pay 0.24% a day. Contracts flat in 24h. Retail 32.5% long, 18th percentile of its own 30-day range, up from 28.5 yesterday. Taker buying above 50% on 6 of the last 7 days. No spot market. Bigger side: shorts on retail, longs on top traders. Empty move, no fuel. PONS +19%. Longs pay 0.08% a day. Contracts -3% in 24h, the only one here falling. Retail 51.0% long, 12th percentile of its 9-day history. Bids 148k vs asks 115k USD within 1% of mid, the deepest book here. No spot market. Bigger side: longs, retail and top traders. Empty move, no fuel. $AIN $龙虾 $CAP #Market_Update
POWER +66%. Longs pay 0.08% a day. Contracts +13% in 24h. Retail 72.2% long, 7th percentile of its own 30-day range, net long 30 of 30 days. Taker selling outweighed buying on all 7 of the last 7 days. No spot market. Bigger side: longs, retail and top traders. Real move, no crowding.

AIN +79%, second day in the top five. Longs pay 0.03% a day. Contracts +48% in 24h. Retail 47.1% long, the bottom of its 30-day range, down from 69.1 yesterday, above 50% on 29 of the last 30 days. No spot market. Bigger side: shorts on retail, longs on top traders. Real move, no crowding.

CAP +32%. Shorts pay 6.2% a day, 43.1% a week, the steepest here. Contracts +8% in 24h. Retail 56.3% long, 91st percentile of its own 30-day range, above 50% on only 7 of the last 30 days. No spot market. Bigger side: longs, retail and top traders, both narrow. Crowded and paying side: shorts.

龙虾 +26%. Longs pay 0.24% a day. Contracts flat in 24h. Retail 32.5% long, 18th percentile of its own 30-day range, up from 28.5 yesterday. Taker buying above 50% on 6 of the last 7 days. No spot market. Bigger side: shorts on retail, longs on top traders. Empty move, no fuel.

PONS +19%. Longs pay 0.08% a day. Contracts -3% in 24h, the only one here falling. Retail 51.0% long, 12th percentile of its 9-day history. Bids 148k vs asks 115k USD within 1% of mid, the deepest book here. No spot market. Bigger side: longs, retail and top traders. Empty move, no fuel.

$AIN $龙虾 $CAP
#Market_Update
У списку bStocks є токенізовані ETF із триразовим плечем, і вони живуть за іншою арифметикою, ніж акція. Денні свічки Binance Spot, 16.08-13.09.2026, 29 закритих днів, зняті 14.09 о 07:40 UTC. Незакриту поточну добу виключено. QQQB за період -3.43%. TQQQB, той самий індекс із плечем 3x, -10.80%. Потроєна зміна дала б -10.29%. Розрив 0.51 пункта. На напівпровідниках розрив більший. SOXLB, бичачий 3x, -20.80%. SOXSB, ведмежий 3x на той самий базовий актив, +15.97%. Дві дзеркальні сторони разом дали -4.83 пункта за 29 днів. Механізм: плече перераховується щодня від нової бази. Після дня -10% і дня +10% базовий актив стоїть на -1%, а потроєний - на -9%. Чим більший денний розмах, тим ширший розрив, і напрямок базового активу тут ні до чого. Це не дрібна ніша списку. За добу до 07:40 UTC SOXLB наторгував 6.60M USD - третій обіг серед bStocks після SNDKB 9.60M і CRCLB 6.70M, більше за QQQB 3.67M і NVDAB 3.05M. Вибірка мала: 29 днів, один період, один сектор. Тримати тиждень 3x-токен і тримати тиждень акцію - різні за природою операції, і різниця рахується не в плечі, а в розмаху. $QQQB $SOXLB $SOXSB #CreateWithBinance #Market_Update
У списку bStocks є токенізовані ETF із триразовим плечем, і вони живуть за іншою арифметикою, ніж акція.

Денні свічки Binance Spot, 16.08-13.09.2026, 29 закритих днів, зняті 14.09 о 07:40 UTC. Незакриту поточну добу виключено.

QQQB за період -3.43%. TQQQB, той самий індекс із плечем 3x, -10.80%. Потроєна зміна дала б -10.29%. Розрив 0.51 пункта.

На напівпровідниках розрив більший. SOXLB, бичачий 3x, -20.80%. SOXSB, ведмежий 3x на той самий базовий актив, +15.97%. Дві дзеркальні сторони разом дали -4.83 пункта за 29 днів.

Механізм: плече перераховується щодня від нової бази. Після дня -10% і дня +10% базовий актив стоїть на -1%, а потроєний - на -9%. Чим більший денний розмах, тим ширший розрив, і напрямок базового активу тут ні до чого.

Це не дрібна ніша списку. За добу до 07:40 UTC SOXLB наторгував 6.60M USD - третій обіг серед bStocks після SNDKB 9.60M і CRCLB 6.70M, більше за QQQB 3.67M і NVDAB 3.05M.

Вибірка мала: 29 днів, один період, один сектор. Тримати тиждень 3x-токен і тримати тиждень акцію - різні за природою операції, і різниця рахується не в плечі, а в розмаху.

$QQQB $SOXLB $SOXSB
#CreateWithBinance #Market_Update
BR +70%. Longs pay 0.30% a day. Contracts +36% in 24h. Retail 45.5% long, 43rd percentile of its own 30-day range, above 50% on only 4 of the last 30 days. No spot market. Bigger side: shorts on retail, longs on top traders. Two sides, does not resolve. CVC +52%. Shorts pay 8.5% a day, 59.3% a week, the steepest here. Contracts +214% in 24h. Retail 54.6% long, the bottom of its 30-day range, down from 71.1 yesterday, net long 30 of 30 days. Spot up 51%. Bigger side: longs, retail and top traders, both narrow. Crowded and paying side: shorts. AIN +38%. Longs pay 0.54% a day, 3.8% a week. Contracts +28% in 24h. Retail 69.1% long, 18th percentile of its own 30-day range, net long 30 of 30 days. Bids 13k vs asks 26k USD within 1% of mid. No spot market. Bigger side: longs, retail and top traders. Real move, no crowding. BTW +36%. Longs pay 0.34% a day. Contracts flat in 24h, the only one here not growing. Retail 41.5% long, 83rd percentile of its own 30-day range, above 50% on none of the last 30 days. No spot market. Bigger side: shorts on retail, longs on top traders. Empty move, no fuel. KOMA +31%. Longs pay 0.19% a day. Contracts +10% in 24h. Retail 67.3% long, 4th percentile of its own 30-day range, net long 30 of 30 days. Taker selling outweighed buying on all 7 of the last 7 days. Bids 11k vs asks 30k USD within 1% of mid. No spot market. Bigger side: longs, retail and top traders. Two sides, does not resolve. $CVC $BTW $KOMA #Market_Update
BR +70%. Longs pay 0.30% a day. Contracts +36% in 24h. Retail 45.5% long, 43rd percentile of its own 30-day range, above 50% on only 4 of the last 30 days. No spot market. Bigger side: shorts on retail, longs on top traders. Two sides, does not resolve.

CVC +52%. Shorts pay 8.5% a day, 59.3% a week, the steepest here. Contracts +214% in 24h. Retail 54.6% long, the bottom of its 30-day range, down from 71.1 yesterday, net long 30 of 30 days. Spot up 51%. Bigger side: longs, retail and top traders, both narrow. Crowded and paying side: shorts.

AIN +38%. Longs pay 0.54% a day, 3.8% a week. Contracts +28% in 24h. Retail 69.1% long, 18th percentile of its own 30-day range, net long 30 of 30 days. Bids 13k vs asks 26k USD within 1% of mid. No spot market. Bigger side: longs, retail and top traders. Real move, no crowding.

BTW +36%. Longs pay 0.34% a day. Contracts flat in 24h, the only one here not growing. Retail 41.5% long, 83rd percentile of its own 30-day range, above 50% on none of the last 30 days. No spot market. Bigger side: shorts on retail, longs on top traders. Empty move, no fuel.

KOMA +31%. Longs pay 0.19% a day. Contracts +10% in 24h. Retail 67.3% long, 4th percentile of its own 30-day range, net long 30 of 30 days. Taker selling outweighed buying on all 7 of the last 7 days. Bids 11k vs asks 30k USD within 1% of mid. No spot market. Bigger side: longs, retail and top traders. Two sides, does not resolve.

$CVC $BTW $KOMA
#Market_Update
Поки Nasdaq зачинений, частина токенізованих акцій починає рухатись за біткоїном. Погодинні свічки Binance Spot за 14 днів, знято 13 вересня 2026, 08:00 UTC. Кореляція погодинних змін із BTCUSDT, окремо для годин основної сесії Nasdaq (14:00–20:00 UTC у будні, 60 годин) і для всіх інших (275 годин): NVDAB — −0.05 у сесію, +0.42 поза нею QQQB — +0.32 і +0.56 AAPLB — +0.23 і +0.20 TSLAB — +0.49 і +0.18 Година 13:00–14:00 виключена: Nasdaq відкривається о 13:30, свічка неповна. Вибірка мала: 60 годин сесії — це близько десяти торгових днів. Різниця в 0.03, як у AAPLB, на такому обсязі нічого не значить; різниця в 0.47, як у NVDAB, вже щось. Механізм той самий, що й у вузького вихідного діапазону. Поки біржа базового активу відкрита, ціну токена тримає арбітраж проти реальної акції. Коли референс зникає, лишається потік ордерів на самій Binance, а він рухається разом із рештою ринку. TSLAB поводиться навпаки, і цим механізмом це не пояснюється. Окремої версії в мене немає. Позиція в bStocks, відкрита на ніч, — це не чиста ставка на акцію. Частину нічного руху приносить крипторинок. $NVDAB $QQQB $TSLAB #CreateWithBinance #Market_Update
Поки Nasdaq зачинений, частина токенізованих акцій починає рухатись за біткоїном.

Погодинні свічки Binance Spot за 14 днів, знято 13 вересня 2026, 08:00 UTC. Кореляція погодинних змін із BTCUSDT, окремо для годин основної сесії Nasdaq (14:00–20:00 UTC у будні, 60 годин) і для всіх інших (275 годин):
NVDAB — −0.05 у сесію, +0.42 поза нею
QQQB — +0.32 і +0.56
AAPLB — +0.23 і +0.20
TSLAB — +0.49 і +0.18

Година 13:00–14:00 виключена: Nasdaq відкривається о 13:30, свічка неповна. Вибірка мала: 60 годин сесії — це близько десяти торгових днів. Різниця в 0.03, як у AAPLB, на такому обсязі нічого не значить; різниця в 0.47, як у NVDAB, вже щось.

Механізм той самий, що й у вузького вихідного діапазону. Поки біржа базового активу відкрита, ціну токена тримає арбітраж проти реальної акції. Коли референс зникає, лишається потік ордерів на самій Binance, а він рухається разом із рештою ринку.

TSLAB поводиться навпаки, і цим механізмом це не пояснюється. Окремої версії в мене немає.

Позиція в bStocks, відкрита на ніч, — це не чиста ставка на акцію. Частину нічного руху приносить крипторинок.

$NVDAB $QQQB $TSLAB
#CreateWithBinance #Market_Update
LSK +290%, second day in the top five. Shorts pay 3.9% a day, 27.6% a week. Contracts -39% in 24h, the only one here falling. Retail 35.4% long, the bottom of its 30-day range, down from 54.0 yesterday, after 29 of 30 days net long. Spot up 303%. Bigger side: shorts, retail and top traders. Crowded and paying side: shorts. STEEM +53%. Shorts pay 6.3% a day, 43.8% a week. Contracts +175% in 24h. Retail 63.1% long, the bottom of its 30-day range, net long 30 of 30 days. Spot confirms. Bigger side: longs, retail and top traders. Real move, no crowding. ARK +45%. Shorts pay 6.6% a day, 46.4% a week, the steepest here. Contracts +31% in 24h. Retail 61.0% long, 20th percentile of its own 30-day range, net long 30 of 30 days. Spot up 46%. Bigger side: longs, retail and top traders. Two sides, does not resolve. FLOCK +28%. Funding flat. Contracts +46% in 24h. Retail 62.8% long, 31st percentile of its own 30-day range, net long 30 of 30 days. Taker buying above 50% on all 7 of the last 7 days, the only one here. No spot market. Bigger side: longs, retail and top traders. Real move, no crowding. POWR +29%. Shorts pay 6.1% a day, 42.7% a week. Contracts +80% in 24h. Retail 61.0% long, the bottom of its 30-day range, net long 30 of 30 days. Bids 42k vs asks 26k USD within 1% of mid. Spot up 32%. Bigger side: longs, retail and top traders. Two sides, does not resolve. $LSK $FLOCK $STEEM #Market_Update
LSK +290%, second day in the top five. Shorts pay 3.9% a day, 27.6% a week. Contracts -39% in 24h, the only one here falling. Retail 35.4% long, the bottom of its 30-day range, down from 54.0 yesterday, after 29 of 30 days net long. Spot up 303%. Bigger side: shorts, retail and top traders. Crowded and paying side: shorts.

STEEM +53%. Shorts pay 6.3% a day, 43.8% a week. Contracts +175% in 24h. Retail 63.1% long, the bottom of its 30-day range, net long 30 of 30 days. Spot confirms. Bigger side: longs, retail and top traders. Real move, no crowding.

ARK +45%. Shorts pay 6.6% a day, 46.4% a week, the steepest here. Contracts +31% in 24h. Retail 61.0% long, 20th percentile of its own 30-day range, net long 30 of 30 days. Spot up 46%. Bigger side: longs, retail and top traders. Two sides, does not resolve.

FLOCK +28%. Funding flat. Contracts +46% in 24h. Retail 62.8% long, 31st percentile of its own 30-day range, net long 30 of 30 days. Taker buying above 50% on all 7 of the last 7 days, the only one here. No spot market. Bigger side: longs, retail and top traders. Real move, no crowding.

POWR +29%. Shorts pay 6.1% a day, 42.7% a week. Contracts +80% in 24h. Retail 61.0% long, the bottom of its 30-day range, net long 30 of 30 days. Bids 42k vs asks 26k USD within 1% of mid. Spot up 32%. Bigger side: longs, retail and top traders. Two sides, does not resolve.

$LSK $FLOCK $STEEM
#Market_Update
Мінімальний ордер у bStocks задає не дробність токена, а поріг у 5 USDT. Знімок Binance Spot, 12 вересня 2026, 08:59 UTC. Три фільтри однакові майже скрізь: крок кількості 0.001 акції (у GMEB і CRCLB — 0.01), тік ціни 0.01 USD, мінімальна сума ордера 5 USDT. Скільки це в акціях при поточній ціні: SPYB 765.0 USD за токен — 0.0065 акції QQQB 715.8 — 0.007 METAB 647.3 — 0.0077 NVDAB 219.4 — 0.023 GMEB 21.0 — 0.24 Крок 0.001 акції теж коштує по-різному: SPYB 0.76 USD, QQQB 0.72, METAB 0.65, MSFTB 0.49, NVDAB 0.22. Це й є мінімальна зміна позиції після входу. Тік 0.01 USD — підлога спреду, нижче неї книга стиснутись не може. У відсотках від ціни: SPYB 0.0013%, QQQB 0.0014%, MSFTB 0.002%, GMEB 0.048%. Між крайніми 36 разів. Звідси різна природа широкого спреду. У GMEB 0.05% — це один тік, фізична межа. Виміряний учора спред MSFTB 0.047% — це 23 тіки, тобто порожня книга, а не обмеження біржі. Перед ордером на дрібну суму дивитись два числа: мінімум у 5 USDT і тік у відсотках від ціни. $QQQB $NVDAB $GMEB #CreateWithBinance #Market_Update
Мінімальний ордер у bStocks задає не дробність токена, а поріг у 5 USDT.

Знімок Binance Spot, 12 вересня 2026, 08:59 UTC. Три фільтри однакові майже скрізь: крок кількості 0.001 акції (у GMEB і CRCLB — 0.01), тік ціни 0.01 USD, мінімальна сума ордера 5 USDT.

Скільки це в акціях при поточній ціні:
SPYB 765.0 USD за токен — 0.0065 акції
QQQB 715.8 — 0.007
METAB 647.3 — 0.0077
NVDAB 219.4 — 0.023
GMEB 21.0 — 0.24

Крок 0.001 акції теж коштує по-різному: SPYB 0.76 USD, QQQB 0.72, METAB 0.65, MSFTB 0.49, NVDAB 0.22. Це й є мінімальна зміна позиції після входу.

Тік 0.01 USD — підлога спреду, нижче неї книга стиснутись не може. У відсотках від ціни: SPYB 0.0013%, QQQB 0.0014%, MSFTB 0.002%, GMEB 0.048%. Між крайніми 36 разів.

Звідси різна природа широкого спреду. У GMEB 0.05% — це один тік, фізична межа. Виміряний учора спред MSFTB 0.047% — це 23 тіки, тобто порожня книга, а не обмеження біржі.

Перед ордером на дрібну суму дивитись два числа: мінімум у 5 USDT і тік у відсотках від ціни.

$QQQB $NVDAB $GMEB
#CreateWithBinance #Market_Update
龙虾 +185%. Longs pay 0.16% a day. Contracts +39% in 24h. Retail 35.3% long, 26th percentile of its own 30-day range, down from 42.3 yesterday. Bids 62k vs asks 31k USD within 1% of mid. No spot market. Bigger side: shorts on retail, longs on top traders. Real move, no crowding. LAB +54%. Longs pay 0.05% a day. Contracts +10% in 24h. Retail 67.8% long, the bottom of its 30-day range, net long 30 of 30 days. Taker selling outweighed buying on all 7 of the last 7 days. No spot market. Bigger side: longs, retail and top traders. Real move, no crowding. LSK +43%. Shorts pay 1.8% a day, 12.7% a week. Contracts +63% in 24h. Retail 54.0% long, the bottom of its 30-day range, net long 30 of 30 days. Spot up 41%. Bigger side: longs on retail, shorts on top traders, both narrow. Crowded and paying side: shorts. UAI +21%. Longs pay 0.23% a day. Contracts +2% in 24h. Retail 44.8% long, 20th percentile of its own 30-day range. Bids 62k vs asks 48k USD within 1% of mid. No spot market. Bigger side: shorts on retail, longs on top traders. Empty move, no fuel. BEAT +21%. Longs pay 0.03% a day. Contracts flat in 24h. Retail 71.6% long, 72nd percentile of its own 30-day range, net long 30 of 30 days. Bids 73k vs asks 71k USD within 1% of mid. No spot market. Bigger side: longs, retail and top traders. Crowded and paying side: longs. $龙虾 $LAB $LSK #Market_Update
龙虾 +185%. Longs pay 0.16% a day. Contracts +39% in 24h. Retail 35.3% long, 26th percentile of its own 30-day range, down from 42.3 yesterday. Bids 62k vs asks 31k USD within 1% of mid. No spot market. Bigger side: shorts on retail, longs on top traders. Real move, no crowding.

LAB +54%. Longs pay 0.05% a day. Contracts +10% in 24h. Retail 67.8% long, the bottom of its 30-day range, net long 30 of 30 days. Taker selling outweighed buying on all 7 of the last 7 days. No spot market. Bigger side: longs, retail and top traders. Real move, no crowding.

LSK +43%. Shorts pay 1.8% a day, 12.7% a week. Contracts +63% in 24h. Retail 54.0% long, the bottom of its 30-day range, net long 30 of 30 days. Spot up 41%. Bigger side: longs on retail, shorts on top traders, both narrow. Crowded and paying side: shorts.

UAI +21%. Longs pay 0.23% a day. Contracts +2% in 24h. Retail 44.8% long, 20th percentile of its own 30-day range. Bids 62k vs asks 48k USD within 1% of mid. No spot market. Bigger side: shorts on retail, longs on top traders. Empty move, no fuel.

BEAT +21%. Longs pay 0.03% a day. Contracts flat in 24h. Retail 71.6% long, 72nd percentile of its own 30-day range, net long 30 of 30 days. Bids 73k vs asks 71k USD within 1% of mid. No spot market. Bigger side: longs, retail and top traders. Crowded and paying side: longs.

$龙虾 $LAB $LSK
#Market_Update
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