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📈 15 порад для прибуткового криптотрейдингу у 2025–2026 роках
$BTC $XRP $SOL Торгівля криптовалютами — це не казино і не швидкі гроші. Це високоризикова професія, де 90–95 % новачків втрачають депозит у перший рік. Але якщо підходити до справи з холодною головою і чіткою системою — можна стабільно заробляти.
Ось 15 правил, які реально працюють перевірені мною та сотнями інших успішних трейдерів: 1️⃣ Завжди торгуй за планом зі стоп-лоссом і тейк-профітом Жодної угоди «на око». Без стопу ти — їжа для китів. 2️⃣ Ніколи не ризикуй більше 1–2 % депозиту на одну угоду Одна невдала позиція не має права вбити твій рахунок. 3️⃣ FOMO — твій головний ворог Коли всі кричать «то дно!», «остання можливість до ×10» — це майже завжди пастка. Сидиш в кеші — молодець. 4️⃣ ‼️Вивчи технічний аналіз на рівні, коли бачиш графік і розумієш, куди піде ціна, за 10 секунд Мінімум: підтримка/опір, трендові лінії, об’єми, RSI, MACD, Bollinger Bands. 5️⃣ Поєднуй технічний + фундаментальний аналіз Техніка каже «де купити/продати», фундамент — «чи варто взагалі лізти в цей актив». 6️⃣ Диверсифікуй, але розумно 50–70 % у BTC/ETH, 20–30 % у сильні альти, 5–10 % у високоризикові (мемкоіни, presale тощо). 7️⃣ Використовуй кілька бірж одночасно Bybit, Binance, OKX, MEXC, KuCoin + один-два нормальні DEX (Uniswap, PancakeSwap, Jupiter). На кожній свої лістинги та ліквідність. 8️⃣ Лімітні ордери — твій найкращий друг Ніколи не купуй за ринковою ціною під час пампу (платиш максимум). 9️⃣ Веди торговий журнал Кожна угода: скрін входу, причина, результат, помилки. Через 3–6 місяців побачиш свої слабкі місця. 🔟 Тримай 30–50 % портфеля в стейблкоінах під час ведмежого ринку або невизначеності Готівка — це теж позиція. 1️⃣1️⃣ Не читай новини та твіттер-аналітиків перед входом в угоду 99 % з них або вже відпрацьовано ринком, або маніпуляція. 1️⃣2️⃣ Торгові боти та ґріди — це добре, але тільки після того, як ти сам стабільно в плюсі вручну Спочатку голова, потім автоматизація. 1️⃣3️⃣ Вивчи маніпуляції китів Фальшиві стіни в стакані, стоп-хантінг, спуфи — коли знаєш, як це працює, перестаєш бути жертвою. 1️⃣4️⃣ Емоції — поза ринком Прибуток = радість - наступного разу ризикуєш більше - злив. Збиток = злість - реванш - ще більший злив. Трейдинг = холодний розрахунок. 1️⃣5️⃣ Найкраща угода — та, від якої ти утримався Іноді найприбутковіший день — коли ти просто не торгував.
⚠️Завжди DYOR — це не порада, а необхідність.Він має бути інтегрований у твою систему трейдингу, як Risk management чи journaling. Чому DYOR завжди потрібен! 1️⃣Торгівля – це: • Логіка, • Стратегія, • Емоційна дисципліна. 2️⃣Без власного аналізу ви: – або торгуєте на емоціях, – або торгуєте на думках інших людей. І це завжди призводить до виснаження вашого депозиту.
Свічковий графік — найбільш затребуваний у трейдингу. Японські свічки підкажуть трейдеру, коли входити в угоду або закривати її. $FIL $SOL $BNB Іноді вони навіть ефективніші за інструменти теханалізу.
На фінансових ринках виділяють три типи графіків — лінійний, барний і свічковий.
-Лінійний графік трейдерами не використовується через нестачу інформації. -Барний незручний, особливо на коротких таймфреймах. -Японські свічки залишаються найбільш популярним і затребуваним типом відображення графічних даних руху ціни.
#ethena #ENA 📊Ethena ($ENA ) – a quick overview for December 8, 2025
Current price: $0.2765 (+5.63% in 24 hours) Monthly: −15.69% Yearly: −72.3% (from $0.998 to $0.276)
Many are happy with the +5–6% rebound today, but the technicals and forecasts remain very bearish: - Forecast for December 13, 2025 (in 5 days): $0.2097 (−22.72% from current level) - Sentiment: Bearish (92% of indicators show “sell”) - Fear & Greed Index: 20 (Extreme Fear) - All key daily moving averages (MA3–MA200) – SELL - RSI 43.88 (neutral), but Stoch RSI is already in the overbought zone and gives SELL
Conclusion: there is a short-term rebound, but the global trend and most indicators continue to scream "further down". A breakdown of $0.252 with a consolidation below opens the way to $0.22 and even to the local bottom of $0.196.
⚠️DYOR and don't forget about the stops - the market is very nervous now.
#unlockingtoken 🔓 Token Unlocking – December 9, 2025 🔓 $VELVET $CARV $LINEA 📌 What does this mean for the market? ✅ Supply growth – a new number of tokens enters free circulation. ⚖️ This can cause pressure on the price due to a possible excess supply.
📈 Investors are closely following the event, because unlocking sometimes opens up both new opportunities for accumulation and risks for short-term traders.
#GrowthFall 📈⏱️ Growth/Fall 24h 📉 📊 Futures Market Update 📊 $FHE $USTC 🚀 Over the past 24 hours, the market has shown strong fluctuations. 🔻 Some coins fell, others gave rapid growth - volatility at its maximum.
⚠️ Reminder: • High volatility = high risk = potentially large profits. • Always set a stop-loss. • Risk management is the key to stable trading.
#CryptoNews 📊 The most important economic events of the week affecting the crypto market $XRP $BNB $ETH This week has become one of the most saturated in macro data and news that directly pressure the volatility of cryptocurrencies. Here are the main things you should know
1. Signals from the Fed - the market is tense
Investors are closely following the speeches of representatives of the US Federal Reserve. Any hints of further tightening of monetary policy are immediately reflected in Bitcoin and alts.
🟡 Why this is important: High rates = less liquidity = more pressure on risky assets.
2. US inflation data
Updated inflation data (PCE, PMI, labor market) are expected. If the indicators are higher than forecasts, the crypto may continue the correction.
🟠 Why this is important: Inflation determines the pace of rate cuts, and this is a key driver of the markets.
3. Regulatory News in Europe
The EU announces new initiatives to regulate and integrate digital assets into the financial system. Institutions are increasingly interacting with crypto platforms.
🟢 Pro: In the long term, this could attract more large investors.
🔴 Cons: In the short term, the market reacts nervously to any tough statements.
4. Market correction: Bitcoin fell below $86,000
The week began with a decline in key assets. This is the result of a combination of weaker market sentiment and macro uncertainty.
🟣 What this means: the market has entered a phase of increased volatility - sharp movements in both directions are possible daily.
5. Stablecoins and liquidity
The volume of stablecoins continues to grow, and they are increasingly integrated into the traditional financial infrastructure.
🔵 Why it matters: It’s a sign of market “maturity” and a foundation for future stability.
⚠️Conclusion The week showed that the crypto market is still completely dependent on macroeconomic factors. Volatility will persist until the market gets clarity on rates, inflation, and regulation.
The price of $MOVR is fluctuating at ~3.07 USDT with a slight increase (+5.06% for the period). The chart shows a short-term bullish momentum: the price broke the upper Bollinger band (3.133), signaling a possible continuation of the growth. MACD shows a bullish crossover (MACD 0.016 > 0), with the line above the signal. RSI (6) at 59.125 is neutral, not overbought, with a potential to 70. Trading volume (10M) is moderate, but with positive dynamics. Overall sentiment: bullish in the short term, but the overall market is bearish (Fear & Greed 26), with volatility of 8.89%.
Forecast: Short-term (week-month): Possible growth to 3.50–4.00 USDT if support at 2.98 holds. Long-term (2025): Average target 3.04–6.21 USDT, with risk of correction to 2.75 due to bearish indicators. Signals 🟢Buy: Open long at support at 2.98–3.00 (near lower Bollinger). Stop loss: 2.85. Take profit: 3.13 (upper BB) / 3.50. Risk: Low if volume increases.
🔴Sell: Short at support at 3.13 if RSI >70 or MACD turns around. Stop loss: 3.20. Take profit: 2.98 / 2.75. Risk: medium, due to bullish momentum.
#MicroStrategy #bitcoin 🇺🇸 MicroStrategy takes a step aside: $1.44 billion in USD reserve instead of new Bitcoins
Yes, this is the news that everyone was waiting for and dreading at the same time.
MSTR officially becomes a dual-reserve company: ✅ Bitcoin (long-term reserve) ✅ $1.44 billion in USD cash reserve (short-term liquidity)
Money for the dollar reserve will be raised through an ATM issue of new shares (i.e. shareholder dilution, but without selling $BTC ).
Why is this necessary: • Pay ~$700 million in dividends per year on prefs • Cover interest on envelopes • Have cash for 12-24 months ahead • Don’t sell Bitcoin at the bottom (at least not the main stack)
BTC buying has almost stopped: November 2024 — 134k $BTC December 2024 — 59.7k July 2025 — 31.5k November 2025 — 9.1k December 2025 (so far) — a pitiful 135 $BTC
Conclusion: 🔴Short-term — bearish signal Strategy has been the largest consistent buyer for the past 5 years. Now this flow is actually drying up. 🟢Long-term — bullish They are not selling Bitcoin and are building protection against forced surrender. So they believe another big rally is coming, they just don’t want to die on the way.
So: less buying pressure now - weaker 2026 But also almost zero risk of a big sell-off from MSTR in a bear market.
As they say: “They are not selling… they’re just not buying anymore”. 😅
$1000SATS - is trading at ~0.0000181 USDT with +9.7% per day (chart snapshot), but the overall short-term trend is bullish with elements of consolidation. The market is showing volatility after a recent bounce from the bottom of ~0.0000162, with trading volume at 23.5 billion (growth supporting bullish momentum). YTD down ~88%, but the forecast for 2025 is optimistic (average price ~0.000318 according to Changelly).
Key indicators: • Bollinger Bands (20.2): Price near the upper band (0.0000184), signaling a possible overbought and correction, but proximity to the average (0.0000179) supports a bullish bias. • MACD: MACD line is close to signal (-0.0000000), histogram is positive with potential for upward crossover — bullish signal for continued growth. • RSI (6/12/24): 61.9/59.8/58.4 — neutral with a bullish bias (not overbought, >50), room for growth without risk of reversal. • Moving Averages: MA5 (0.0000448 billion volume) and MA10 (0.000361 billion) show increasing volumes, price is above short-term MA — bullish trend. • OBV: 1.45 billion — stable, without divergence, supports accumulation.
Overall trend: Bullish in the short term (consolidation with breakout potential), but with risk of correction due to proximity to upper BB. Support: 0.0000173 (lower BB). Resistance: 0.0000189. Signals: 🟢Buy: Entry at 0.0000180–0.0000182 (bounce from middle BB). TP1: 0.0000189 (upper BB, +4.4%), TP2: 0.0000210 (+16%). SL: 0.0000173 (-4.4%). Justification: RSI >50, MACD bullish, volume is growing — probability 65% in 1–3 sessions.
🔴Sell: Entry at 0.0000185+ (rejection of resistance). TP1: 0.0000175 (-5.5%), TP2: 0.0000162 (-12%). SL: 0.0000190 (+2.7%). Justification: BB is overbought, if RSI >70 - probability of correction 55%.
#investing #GOLD 🔥 Gold doesn't stop: 2025 has already become historic!
💰 Gold price now $4,240 (+60% YTD) 🥈 Silver is even cooler — almost +100% for the year 📈 S&P 500 — "only" +17% ₿ Bitcoin — even in the red (-2%)
Gold has already broken more than 50 (!) historical highs this year. The last time this happened was back in 1979.
Why is it flying up? • Investors are betting on a Fed rate cut next week • Dollar is weakening • Central banks continue to buy gold at a furious pace • “Momentum” + new players (Chinese insurance companies, Indian pension funds)
2026 forecasts: • World Gold Council: +5–15% - to $4,900 • Goldman Sachs: confirms target of $4,900 by the end of 2026
Gold has long been not just a “protection”, but one of the best assets of the year.
#altcoins #trading 🔥 Altcoins are in deep red, but the tech is screaming: “This is a rare window for accumulation!” $HOT $SUI $ID As of December 7, 2025: • Bitcoin dominance — 59.6% and still growing • BTC -29% from ATH $126k - now $88,803 • CMC Altcoin Season Index = 20 (last year it was 83) • Fear & Greed Index = 22 (extreme fear)
But there is one very important on-chain signal from CryptoQuant: Aggregate 30-day altcoin trading volume (paired with stablecoins) has again fallen below the annual average.
Historically, each such case = “accumulation zone” before the next big move.
Such quiet periods lasted for weeks and even months, and it was during them that the smartest money gradually loaded alts before the explosive growth.
Conclusion: While everyone is panicking and waiting for “even lower,” the technicals and on-chain show that now is one of the best windows for the entire year of 2025 to calmly DCA strong projects.
The price of $FHE is at ~0.0353 USDT with a strong growth of +127% per day (as of 07.12.2025). This indicates a strong bullish momentum, probably due to the general positive in the crypto market (expectations of a Fed rate cut) and the specificity of the Mind Network token (FHE — Fully Homomorphic Encryption for AI and data security). Volatility is high (historically ~150%), with an ATH of 0.164 USDT (August 2025) and a recent low of ~0.015 USDT.
Key indicators from the chart: • Bollinger Bands (20.2): The price touches the upper band (0.0347), signaling overbought conditions and a possible local corrective movement. • MA (5/10): Short-term moving averages (1.025M/755K vol) support the bullish trend, but price above them — risk of pullbacks. • MACD: Divergence (DIF 0.0041, DEA 0.0028, MACD 0.0013) — weak bullish signal, but histogram may turn negative. • RSI (6/12/24): 89.9 / 86.7 / 84.2 — deeply overbought (>70), a classic signal for correction. • Volatility and volume: Trading volume 848M — high, but OI (open positions) 32M with NV 11M indicates speculative interest.
Overall trend: Short-term bullish (resistance break ~0.03), but overbought risks correction up to 20-30%. Medium-term — potential up to 0.10 USDT (according to TradingView analysis), if the market supports (+33% growth per week). Risks: the general crypto market is waiting for FOMC (10.12), a dump is possible. Signals: 🟢Buy: Weak signal — wait for a correction to the support of 0.027-0.030 (average BB or MA10). Stop loss: 0.025. Take: 0.045 (breakthrough of the upper BB). Probability: 40% (for recovery after the dump).
🔴Sell: Strong signal now — fix profit due to RSI >85 and overbought. Take: 0.032 (lower BB). Stop loss: 0.038. Probability: 70% (correction is inevitable).
⚠️Recommendation: Use leverage carefully (max 5x), monitor volume.
#cryptotradingpro #priceaction 🔥 What is Price Action and why are all traders talking about it? $BNB $ADA $XRP Price Action (translated as “price movement”) is the purest and oldest trading method in the financial markets.
Charles Dow (the father of technical analysis) also said: “EVERYTHING is already built into the price: news, politics, emotions of participants, expectations… Absolutely everything.”
Therefore, Price Action traders do not read tons of news and do not sit in indicators. They simply look at the chart and see what the price itself is doing right now.
No Moving Average, RSI, MACD, robots and “magic” arrows. Just you, a clean chart and understanding of price behavior.
Why are millions of traders switching to Price Action?
✅ Extremely easy to understand ✅ Works on all markets and all timeframes ✅ Most effective on daily and weekly charts (less noise = clearer signals) ✅ Spend 20–30 minutes a day and you’ll be up to date ✅ No need to follow the news 24/7
The main weapon is repeating candlestick patterns (setups): • Pin Bar • Inside Bar • Fakey• Engulfing • DBL/DBH and a few more “killer” patterns
Master the 4–5 strongest setups and you can start making steady money.
Price Action is not a “game of luck”. It’s reading the intentions of big players by the traces they leave in the price.
Do you want to trade cleanly, without unnecessary noise and with a clear head?
$TRUTH price is at 0.01578 USDT (+10.18% per day). The asset shows strong bullish momentum: candles close above the middle line of Bollinger Bands (20), with the upper band at 0.01639 (potential for a test). Trading volume (78.8M) exceeds MA5 (92.6M), which indicates growing buyer interest. MACD (0.000102) and DI (0.000046) are positive, but weak - a signal for the continuation of the trend, without overbought conditions.
Indicators: • RSI (6): 61.97 - neutral-bullish, not overbought (may grow). • SMA/EMA: Price is above SMA(10) and EMA(20), trend is up. • Support/Resistance: Support at 0.01523 (lower BB), resistance at 0.01608–0.01639.
Overall: Bullish trend on the short-term timeframe (4h), with potential to 0.0165, but risk of correction due to volatility (volume is falling). Signals: 🟢Buy (Long): Open at 0.0155–0.0158, stop loss at 0.0150 (below BB), take profit at 0.0165 (upper BB). Risk/reward: 1:2. (Confirmation: candle close >0.0160).
🔴Sell (Short): Only on a breakdown below 0.0150, stop loss at 0.0158, take profit at 0.0145. (Weak signal now - avoid, trend is bullish).
⚠️Recommendation: Hold long with partial profit take at 0.0160. Monitor volume for confirmation. Not financial advice -DYOR !
#PeterBrandt #bitcoin 🚨 Legendary trader Peter Brandt (50 years in the markets) has just updated his main weekly Bitcoin chart — and the bulls are definitely not going to like it.
His verdict: • The classic 5-wave rise is complete • The curve (parabola) that has held the price since 2023 has been broken down • Two main targets for correction: ($81,852) - ($59,403) (deeper, but very likely)
Brandt does not call this a “crash”, but a simple “cleaning up of excessive optimism” after the market has already priced in all possible Fed rate cuts.
Interesting point: the end of 2025 is very similar to the end of 2021, only in reverse. Then everything was preparing for QT (liquidity tightening), now - for QE (easing). But assets are already trading as if rates would fall to zero tomorrow. When reality turns colder, the air will come out.
So far, the easiest path for $BTC is to return to the zones that bulls already considered "impossible". Are you still 100% long without stops? 😏
In 2025, we have already crossed 171 negative days — and this may be the most important signal of the cycle that everyone is ignoring.
📉 What does this mean? – The market has exhausted its annual pain limit. – The most likely scenario by the end of the year: a sideways move, not a deep dump. – If a real drop is to occur — historically it comes next year, after a period of prolonged stagnation.
✨ History shows: After every ~170 “red” days,$BTC either forms a bottom or enters an accumulation phase - before a jump.
⏳ In 2025, we are already at maximum values. 2026 could be the year when the market either breaks out or gives a final shake-out before new ATHs.
📊 Data doesn't lie. You just need to be able to listen.
$FARTCOIN - Price ~0.396 USD (growth +6.13% in 24 hours, trading volume ~$172 million). The chart shows a candlestick pattern with a red candle (-1.23%), but the overall trend is bullish: the price tests resistance at ~0.4025 (upper Bollinger Band). Support at 0.3356 (DEA line). Volatility is high (14.45% in 30 days), the meme coin market is hot with bullish sentiment (Fear & Greed ~25, Extreme Fear, but with the potential for a reversal).
Key indicators from the chart: • Bollinger Bands (20.2): Price in the middle of the bands (Middle 0.3836), compression is a signal of a possible breakout to the upside. • MACD: -0.016 (a bullish crossover is possible if the line crosses the signal). • RSI (6/12/24): 31.9/40.9/46.8 — neutral, not overbought, room for growth. • Volume: Growing (1.19 billion), MA(5) ~35 million — confirms buyers' interest.
Overall trend: Bullish on the short-term timeframe (1H-4H), with the potential for a channel reversal. Long-term (2025) forecasts vary: from $0.36 (neutral) to $2.93 (optimistic). Sentiment on X: bullish, discussing a “reverse” and a breakthrough of resistance. Signals: 🟢Buy: Yes, at support 0.3836-0.396 (near Middle BB). TP1: 0.4025 (upper BB), TP2: 0.416 (next resistance). SL: 0.3356 (DEA). Risk/Reward: 1:2.5. Enter if volume >1.5 billion and RSI >50.
🔴Sell: Not yet (neutral/hold). Sell if breakout below 0.3356 (MACD < -0.02). TP: 0.302 (lower pivot). SL: 0.4025.
⚠️Recommendation: Buy on dips, monitor BTC (correlation high).
#Ripple #xrp 🚨 $XRP is gaining momentum in traditional finance!
Michael A. Gayed (portfolio manager at Toroso Investments, publisher of The Lead-Lag Report, regular guest on CNBC) has actually given the green light to XRP.
This morning he wrote in X: “I might get annoying about $XRP (and hinted that something interesting will be coming soon on the topic)
For those who are not in the know: • Gayed harshly criticizes Bitcoin maximalism and calls BTC ETF “the worst thing that happened to Bitcoin” • believes that BlackRock earned more from ETFs than all retail investors combined • and now… suddenly interested in $XRP
The timing is perfect: 9 spot XRP ETFs in the US have already collected ~$900 million AUM, daily inflows of $10–15 million. Franklin Templeton, Bitwise, 21Shares, ProShares, Grayscale are in the game.
Before that, Dave Portnoy (founder of Barstool Sports) went for $1 million in XRP.
When traditional financiers who hate BTC ETFs start talking about XRP… it’s not just a “crypto party” anymore.
#crypto #UK #MiCA 🇬🇧 GREAT BRITAIN OFFICIALLY RECOGNIZES CRYPT AS A “THIRD CATEGORY” OF PROPERTY
On December 2, the King gave Royal Assent to a law that, in one sentence, rewrote English property law over the past 400 years.
In England and Wales, there are now three, not two, categories of personal property: 1. Things in possession — physical things (car, gold, painting) 2. Things in action — rights of claim (debt obligations, shares, bank deposits) 3. Data objects — cryptocurrency, NFTs, tokenized assets, and other purely digital objects that exist thanks to cryptographic control and network consensus.
This is not just “judges will no longer rack their brains.” This is the end of a decade of legal limbo.
What has changed in practice: • Stolen $BTC / $ETH are now frozen and returned faster and more reliably — the court has a direct statutory basis to recognize them as property. • In the event of an exchange bankruptcy, your coins are 99% easier to recognize as separate from the platform’s assets (goodbye, “you’re just an unsecured creditor”). • Crypto as collateral for loans — finally a clear mechanism for creating a security interest that survives insolvency. Banks and funds breathed a sigh of relief. • Custodians can write clear terms where the client has a direct proprietary interest, not a “fiduciary right through three layers of contracts.” • The ground is prepared for the Bank of England’s systemic stablecoins — now there is a clear category of property that the regulator can work with.
The UK did what neither the EU with MiCA (there is regulation, but there is no property) nor the US with their UCC Article 12 (there is the opposite - there is property, but regulation is patchwork) were able to do.
One paragraph of the law. It regulates NOTHING (no taxes, no AML, no licensing), but removes the most important conceptual obstacle that has made every crypto deal for the past 8 years look like an attempt to fit a square peg into a round hole
💰 Current price: $0.1308 (+3.6% per day) 📉 Monthly: -20.27% 📉 Yearly: -81.20% (from $0.696 to $0.131) 😱 Fear & Greed Index: 23 (Extreme Fear)
Forecast for December 11 (in 5 days): 🎯 $0.0992 - -23.1% from current price That is, the market is waiting for another serious drawdown.
Technical analysis is very bearish now: 🐻 24 out of 28 indicators – SELL 🐻 Price is below all key daily EMA/SMA 🐻 RSI 37 (neutral, but close to oversold)