17 MILIONI DI RUG PULL CONFERMATI SU ETHEREUM $ETH 🚨
Notizie di BlockBeats, 13 marzo: i dati di Etherscan rivelano circa 17 milioni di tentativi di rug pull su Ethereum tra il 2022 e il 2024, che hanno colpito 1,3 milioni di utenti e hanno portato a oltre 79,3 milioni di dollari in perdite confermate. Dopo l'aggiornamento di Fusaka del 3 dicembre 2025, i costi di transazione sono crollati, portando a un aumento del 612% nei trasferimenti di polvere. Gli utenti sono fortemente invitati a verificare manualmente gli indirizzi di destinazione, utilizzare etichette e domini ENS per indirizzi frequenti, abilitare la funzione di evidenziazione degli indirizzi di Etherscan e prestare attenzione a tutti i promemoria popup sugli indirizzi.
QUESTO NON È UN CONSIGLIO FINANZIARIO. GESTISCI IL TUO RISCHIO.
$CVX is back on the watchlist as traders assess liquidity, momentum, and confirmation before positioning. Without confirmed public levels, the focus remains on market structure, volume behavior, and disciplined execution.
This setup requires patience. Strong moves often follow liquidity compression, but confirmation matters more than anticipation. Traders should avoid chasing and define risk before exposure.
The S&P 500 has reached a new all-time high at 7,599.38, while testing a long-term descending trendline resistance. A decisive close above this zone would support broader risk-on positioning, while rejection may increase correction risk across equities and crypto-linked sentiment.
For $HEI and $ALLO, the key read is liquidity appetite. Strong equity momentum can support selective crypto rotation, but confirmation matters more than headlines at resistance.
$PROMPT is seeing a modest bounce, but the current move appears more promotion-led than institutionally confirmed. Mentions are tied to low-engagement posts, contract-focused promotion, and limited broader market participation. The Wayfinder AI narrative remains relevant, but liquidity depth and sustained demand need confirmation before treating this as a durable trend.
$INJ ROTTURA DELLA RESISTENZA METTE $8 SOTTO RIFLESSIONE ⚡
Obiettivo: 8 ✅
$INJ sta mostrando un chiaro cambiamento di momentum dopo aver rotto la resistenza precedente. La prossima area da monitorare è la zona degli $8, dove la liquidità e il profit-taking potrebbero aumentare. Un volume sostenuto sopra l'area di breakout supporterebbe la continuazione, mentre un fallimento nel mantenere il livello potrebbe segnalare un retest prima della conferma del trend.
Non è un consiglio finanziario. Gestisci il tuo rischio.
$HYPE has pushed above $65 to a new all-time high, lifting HypeStrat’s unrealized treasury gains past $1 billion, the highest among decentralized autonomous treasuries. In contrast, BitMine’s $ETH-linked treasury losses reportedly exceed $8 billion, highlighting a sharp divergence in treasury positioning and timing.
This setup reinforces how treasury exposure can amplify both upside and drawdown. Traders should watch liquidity depth, profit-taking behavior near new highs, and whether treasury narratives continue to influence relative strength.
$BAT is gaining traction after a reported triangle breakout and retest near a historically watched support zone. Market discussion remains mixed, with bullish accumulation narratives competing against short-term futures positioning. For serious traders, the key is whether liquidity can sustain above support and convert momentum into continuation rather than a failed breakout.
$US is showing elevated momentum after a sharp breakout, with reports of rapid gains, strong futures activity, and multiple take-profit zones reached. RSI and ADX suggest trend strength, but the move may be extended as volatility and profit-taking risk increase.
Momentum remains constructive while volume supports the breakout, but chasing vertical moves carries higher execution risk. Serious traders may prefer confirmation, controlled sizing, and defined invalidation rather than reacting to FOMO.
$EPIC is showing a constructive reversal after reclaiming the 0.20 support zone. Buyers are defending higher levels, but confirmation depends on sustained demand through the entry range and clean follow-through toward resistance. A move back below invalidation would weaken the bullish structure.
$TRX is rejecting near local resistance after a weak recovery attempt. Seller response around the entry zone suggests intraday downside remains in play if bearish momentum holds. The setup depends on clean rejection and liquidity follow-through; invalidation sits above the resistance area.
DeFi projected hack-related losses for 2026 stand at $706.8M against roughly $90B in TVL, implying a 0.79% damage rate. The dollar loss remains material, but the percentage impact is tracking below recent years, suggesting security improvements are reducing relative damage without eliminating systemic risk.
For $HEI and $ALLO, traders should separate narrative momentum from protocol-level risk. Liquidity can rotate quickly around security-related headlines, especially in smaller-cap DeFi names. Stronger tooling helps, but exploit risk remains a core valuation discount across the sector.
$ALL has completed its prior upside move, with momentum now showing signs of exhaustion. The focus shifts to a more cautious downside setup as traders monitor liquidity, reaction strength, and whether sellers can sustain pressure.
Positioning should remain measured. Short bias requires confirmation, not assumption, especially after a strong run.
A large trader closed the full short exposure worth about $96.74 million during the latest rebound, locking in roughly $1.87 million in profit. The move suggests disciplined profit-taking into improving liquidity rather than a clear directional reset. Traders should watch whether spot demand can absorb follow-through selling after this short unwind.
Terra Classic rimane un grafico di recupero ad alto rischio con una lunga storia di fiducia danneggiata e liquidità in diminuzione. L'attenzione attuale è se il prezzo può riprendere la trendline discendente e mantenersi sopra 0.00010. Un fallimento manterrebbe il setup vulnerabile a un altro pullback, mentre una forza sostenuta potrebbe riportare in gioco zone di resistenza più alte nel tempo.
Non è un consiglio finanziario. Gestisci il tuo rischio.
$ONDO RECOVERY SETUP DRAWS INSTITUTIONAL ATTENTION 🚨
Entry: 0.35-0.45 🔥 Target: 0.50-0.77 ✅
ONDO is gaining traction after holding a key demand zone and showing signs of technical recovery. The RWA narrative remains the main driver, supported by tokenized asset adoption, reported TVL strength, and institutional infrastructure interest. Still, traders should account for token utility debates, potential VC supply pressure, and headline-driven volatility before assuming continuation.
$ETH IL LEVERAGE DEL WHALE È VICINO ALLA LIQUIDAZIONE ⚠️
Entrata: 2.011,7 🔥
Un whale ha aperto un long con leverage 25x su un exchange di alto livello tramite Hyperliquid, per un totale di 12.900 $ETH , circa 26,1 milioni di dollari. Il livello di liquidazione riportato è 1.967,1, lasciando solo circa 45 dollari tra l'entrata e la liquidazione forzata. Questa è una configurazione ad alta convessità dove la liquidità, il funding e la volatilità a breve termine contano più della convinzione direzionale.
Non è un consiglio finanziario. Gestisci il tuo rischio.
$BTC has rebounded from the 72.5K support region, restoring short-term bullish momentum. The setup now depends on whether buyers can sustain absorption above the entry zone and convert recent strength into continuation. Liquidity remains key near each target, so partial profit-taking and disciplined stop placement are important.
CFTC measures now include approval of the first listed perpetual contract in the U.S., policy guidance for perpetual derivatives, no-action relief, and a staff advisory covering 24/7 trading, clearing, and settlement. Hyperliquid Policy Center framed this as a meaningful step toward recognizing perpetual contracts in price discovery and risk management.
For institutional traders, the key shift is regulatory clarity around a market structure that has largely developed offshore and on-chain. If this framework expands, liquidity, compliance standards, and venue competition could evolve materially across derivatives markets.
$BTC setup remains pullback-dependent, with the 73.1k-73.2k area acting as the key liquidity zone to reassess participation. A clean retest with improving volume would offer a more disciplined entry profile than chasing strength. If price accelerates without the pullback, standing aside preserves risk control.
$BTC REGULATORY SHIFT COULD RESHAPE MARKET ACCESS ⚡
Michael Saylor said the latest CFTC regulatory guidance could strengthen Bitcoin capital markets by supporting 24/7 trading, BTC collateral, perpetuals, options, and compliant access. The key institutional signal is broader market structure maturity, with potential benefits for Bitcoin holders and Bitcoin-backed credit products such as $STRC.
For serious traders, the focus is not the headline alone but whether liquidity, collateral frameworks, and regulated product access expand in practice. If implemented effectively, this may deepen institutional participation while reducing friction around Bitcoin-based capital strategies.