🚨 PĀRTAISĪT! Tavas kriptovalūtu tirdzniecības drīz mainīsies uz visiem laikiem 💰
Vai kādreiz esi domājis, kā profesionālie tirgotāji šķiet burvīgi zina, kad pirkt un pārdot kriptovalūtu? Spoilera brīdinājums: tā nav veiksme, tā ir tehniskā analīze, un tu drīz uzzināsi, kā viņi to dara! 📊✨ Kas vispār ir tehniskā analīze? 🤔 Domā par tehnisko analīzi kā par tirgus ķermeņa valodas lasīšanu. Tā vietā, lai minētu, tu izmanto pierādītus rādītājus un diagrammu modeļus, lai prognozētu, kur $BTC , $ETH , vai tava iecienītā altkoina virziens ir nākamais. Profesionālie tirgotāji apvieno tehniskos rādītājus, riska pārvaldības protokolus un tirgus laika noteikšanu, lai iegūtu peļņu, vienlaikus pārvaldot lejupslīdes risku.
Is India About to Walk Away From a U.S. Trade Deal? 🌍
What's Happening?
India's opposition parties are raising serious concerns about the country's ongoing trade negotiations with the United States. They want the government to stop, pause, and rethink before signing anything.
Why the Pushback?
The opposition argues that rushing into a deal could hurt Indian farmers, small businesses, and domestic industries. Their main concerns include:
- American agricultural imports flooding Indian markets - Pressure to lower #Tariffs beyond what India can afford - Threats to India's pharmaceutical and tech sectors 🏭
The Bigger Picture 🌐
This isn't just domestic politics. U.S.-India trade relations carry massive weight globally. Any deal shapes supply chains, regional alliances, and Asia's economic balance.
What Comes Next?
The government hasn't formally responded yet, but the pressure is building. A reevaluation could delay or reshape the entire negotiation timeline.
This debate reminds us that trade deals aren't just economics , they're deeply political. 🤝
Is Gold Still a Safe Bet? Here's What SPDR's Latest Data Tells Us 🏅
What's Happening With Goldx ($PAXG )Right Now?
SPDR #GOLD Trust, one of the world's largest gold-backed ETFs, has been showing remarkably steady holdings lately. For everyday investors, this is actually a big signal worth paying attention to.
Why Does This Matter? 🤔
When SPDR Gold Trust holdings stay flat, it usually means large institutional investors aren't rushing to sell or buy gold aggressively. Think of it like a pause button , the market is watching and waiting.
Here's what steady holdings typically suggest:
Investors still trust gold as a store of value No panic selling is happening in the market Demand remains quietly strong behind the scenes
The Bigger Picture 📊
Gold has historically been a go-to asset during economic uncertainty. Even when prices fluctuate, stable ETF holdings show that confidence in the metal hasn't faded.
💡If you're watching precious metals, steady SPDR holdings are generally a healthy sign. Gold isn't going anywhere anytime soon.
The Psychology of Crypto Trading: Why Your Brain Is Your Biggest Enemy 🧠
Crypto trading is one of the most emotionally intense financial activities in the world. It runs 24/7, prices can swing wildly in minutes, and your emotions are always right there in the middle of every decision you make. Most traders spend hours studying charts and researching coins. Very few spend time studying the one thing that influences every single trade , their own mind. Why Crypto Feels So Different 🎢 The stock market closes. Crypto never stops. That alone creates a psychological environment most people are completely unprepared for. Imagine waking up at 3 AM to a notification. $BTC in just dropped 12% in 20 minutes. Your heart races, your palms sweat, and every rational thought about your "long-term plan" disappears instantly. That is not a personality flaw. That is your brain treating financial loss the same way it treats physical danger, triggering a fight-or-flight response. And in trading, that response almost always makes things worse. Fear and Greed: The Two Kings of the Market 😨🤑 The entire crypto market essentially runs on two emotions, cycling between them constantly. When prices rise, greed takes over. People throw logic out the window and pour money in because they do not want to miss out. This is the phase where even your taxi driver is telling you which coin to buy. Then comes the crash. Fear takes over, panic selling begins, and the same crowd screaming "to the moon" is now declaring #crypto dead forever. The painful irony? The best time to buy is when everyone is terrified. The best time to sell is when everyone is celebrating. But doing the opposite of your emotions is one of the hardest things a human being can do. FOMO: The Trade That Ruins Portfolios 😤 #FOMO , "Fear Of Missing Out " is probably the single most dangerous trap in crypto. It is behind more bad trades than almost anything else. Here is how it plays out. You watched a coin for weeks and decided not to buy. One morning it is up 300%. Social media explodes with people posting gains. You convince yourself it is "still early" and you buy , right at the top , just in time to watch it crash. The antidote is simple in theory but hard in practice. Have a plan before the market moves, not after. When you already know what you want to buy and at what price, a sudden pump becomes a missed opportunity , not an emergency you need to chase. Loss Aversion: Losses Hurt More Than Wins Feel Good 📉 Nobel Prize winning psychologist Daniel Kahneman discovered that losing $100 feels roughly twice as painful as gaining $100 feels pleasurable. This plays out in crypto in very specific ways. The most common example is holding a losing trade too long. A coin drops 40% and instead of cutting the loss, you hold , because selling makes it "real." Sometimes it recovers. Sometimes it drops another 60%, turning a manageable loss into a disaster. Ask yourself honestly before every decision: "Am I holding this because I believe in it, or because I cannot face the pain of losing?" Overconfidence: The Silent Account Killer 😎 A few big wins can do strange things to a person. You start feeling like you have cracked the market, that your strategy is bulletproof, that you have some edge others do not. So you take bigger risks. You skip your own rules. You stop using stop losses because you are "sure" about this one. Then the market humbles you , and it always does , and the damage is far worse than it would have been if you had stayed disciplined. The best traders stay humble no matter how good their recent run has been. Revenge Trading: The Fastest Way to Blow an Account 🔥 You make a bad trade. The frustration is instant. So you jump straight into another trade with more money, trying to win it back immediately. This is revenge trading, and it is almost always a disaster. You are not thinking about setups or strategy at this point , you are reacting emotionally, which is the worst possible state for making financial decisions. Poker players call this being "on tilt." The only real solution? Close the app. Go for a walk. The market will still be there tomorrow. Social Media is Messing With Your Head 📱 Twitter, Telegram, Reddit, Discord , crypto communities are powerful, and their influence on how you feel about the market is mostly negative. In a bull market, everyone posts gains and hypes projects. Doom gets drowned out. You start believing everyone is getting rich and you should be taking bigger risks. In a bear market, doom dominates everything and it becomes nearly impossible to think clearly about real opportunities. The healthiest thing you can do is reduce your social media consumption during active trading periods. Make decisions based on your own research, not what someone with 200,000 followers tweeted at 2 AM. What Emotional Discipline Actually Looks Like 🧘 Emotional discipline is not about feeling nothing. It is about building habits that stop your emotions from making decisions for you. Keep a trading journal. Write down every trade, why you made it, what you felt at the time, and what happened. Over time you will start seeing patterns in your own behaviour — maybe you always make bad trades late at night, or panic sell on the first dip after entering. Set rules in advance. Decide your position size, your stop loss, and your profit target before you enter a trade. When the rules are already set, there is nothing left for your emotions to decide. What Consistently Profitable Traders Think Differently 🏆 Traders who make money over the long term share a few key mindset traits. They accept losses as part of the process. A losing trade is not a failure , it is just information. They are patient. They wait for setups that meet their criteria instead of trading out of boredom or excitement. They focus on process, not outcome. They know that if they execute their strategy correctly and consistently, results will follow. Most importantly, they are comfortable with uncertainty. No one knows what the market will do next. Accepting that, rather than fighting it, brings a kind of psychological peace that allows for much clearer thinking. A Honest Question Worth Asking 🤔 Not everyone should be actively trading, and there is nothing wrong with that. If trading is affecting your sleep, your mood, or your relationships , those are serious #signals .A simpler approach of buying solid assets and holding through volatility often produces better results with far less psychological damage. The market will always offer opportunities. Your mental health does not get a second chance.
💡 The crypto market is one of the most psychologically demanding environments you can put yourself in. The volatility, the noise, the 24/7 pressure , all of it pushes you toward emotional decisions. Understanding your own psychology does not guarantee profits. But it gives you a real fighting chance. Every time you catch yourself about to FOMO in, every time you walk away instead #Psychologyofcrypto
Altcoin Season Isn't Here Yet , But the Signs Are Getting Hard to Ignore
The Numbers Are Moving But Not There Yet
The #altcoinseason Index currently sits at 41 which is still well below the 75 mark needed to officially confirm altcoin season. But the direction is what matters and right now things are slowly turning. Momentum Is Building
Back in early January 2026 the index climbed to 55 its highest point in three months. Analysts noted that while this wasn't a full altseason confirmation momentum was clearly building and setting the stage for a broader rally.
Which Sectors Are Leading
Data from #Artemis Analytics shows AI tokens are leading among altcoins posting a year to date gain of 20.9% in weighted average fully diluted market cap. Meme coins are also in positive territory though they remain more unpredictable.
Bitcoin Dominance Is the Key Factor
$BTC dominance remains elevated and the market has now gone 122 days without an official altcoin season. Until that dominance starts dropping noticeably the altcoin rally will stay gradual rather than explosive.
What This Means for You The shift is real but slow. Watching $BTC dominance and the index together gives you the clearest picture of where this market is heading next.
Āzijas valūtas saglabā stabilitāti, bet ģeopolitiskie riski nav pazuduši
Piesardzīgs, bet stabils tirgus
Āzijas valūtas šobrīd atrod savu pamatu, lai gan ģeopolitiskās spriedzes turpina turēt tirgus uz malas. Japāņu #yen turas ap 153 par dolāru, kamēr Malaizijas ringits klusi kļuvis par reģiona labāko valūtu šogad, nostiprinoties četrās no pēdējām piecām tirdzniecības sesijām.
Kas virza mieru
Mīkstāks ASV dolārs dod lielākajai daļai reģionālo valūtu kādu brīvību. Ārzemju investori arī atgriežas Āzijas tirgos, it īpaši Indijas un Korejas obligācijās, kas sniedz atbalstu. Atjaunotie ārvalstu ieguldījumi Malaizijas aktīvos ir bijis galvenais virzītājspēks, jo investori cenšas diversificēt prom no tradicionālajiem drošajiem patvērumiem.
Ne viss ir gludi. Indijas rūpija saskaras ar spiedienu no ģeopolitiskajiem riskiem, tostarp nesen izbeigtā militārā sadursme ar Pakistānu un atjaunotās spriedzes Tuvajos Austrumos, kas varētu paaugstināt naftas cenas, smagi ietekmējot ekonomiku, ņemot vērā tās lielo atkarību no enerģijas importiem.
Ko skatīties nākamajā
Dienvidkorejas vona stabilizējas pēc mēnešiem ilgas politiskās nenoteiktības, sekojot pagājušā gada prezidenta krīzei. Labāki makro apstākļi uzlaboja mikroshēmu eksporta rādītājus, un gaidāmās Fed procentu likmju samazināšanas varētu ievērojami samazināt vona svārstīgumu līdz 2026. gadam.
Kopumā noskaņojums visā Āzijā #FXmarkets ir piesardzīgs, bet ne panikā, un šī stabilitāte šobrīd ir pietiekama, lai investori būtu piesardzīgi optimistiski.
Current Price & Position $PAXG is trading around $5,001 today. It hit an all-time high of $5,619 on January 29, and has since pulled back roughly 11% from that peak. This is a classic post-ATH correction, not a breakdown. Today's Range The 24-hour range has been $4,864 – $5,008. Price is right at the top of that range, struggling to hold the key $5,000 psychological level. Volume is elevated at over $207 million , so this is an active, watched level. Key Support Levels $5,000 is the immediate must-hold zone. $4,938 is the next cushion below that. $4,700 – $4,750 is the deeper demand zone , the last line of defence before a more serious correction.
Key Resistance Levels $5,200 – $5,300 is the first major resistance on any recovery. $5,400 – $5,600 zone brings price back toward the ATH area , heavy overhead supply there. Moving Averages The 50-day and 200-day SMAs are both clustering around $5,012 – $5,025. This makes current price levels a natural support zone. Bulls want to see price stay above these MAs. RSI Signal #RSI is sitting in the 20–40 range, meaning oversold to mild sell territory. If RSI dips below 30 and then recovers back up, that's typically a strong short-term bounce signal to watch for. Sentiment Overall sentiment is neutral-to-slightly bullish at around 56/100. No strong directional conviction yet — the market is waiting for a clear trigger either way. Macro Tailwind (Big Picture) #Gold fundamentals are still very strong. Central banks are buying at record levels, inflation hedging is active, and analysts project gold could hit $6,000 – $6,300 by year-end. Since PAXG tracks gold 1:1, any gold breakout benefits PAXG directly. Whale Activity There's notable whale rotation from $ETH into #PAXG defensive capital moving into tokenized gold during crypto stress. This supports the price floor and adds a bullish underpinning. Risk Factor The broader crypto market is in risk-off mode today $BTC is down ~5%, ETH down ~8%. Even though PAXG is less correlated to crypto, sentiment spillover can create short-term selling pressure, so be cautious on timing. Short-Term Trade Setup The best entry zone for a bounce play is $4,870 – $4,950. Wait for a clean **reclaim of $5,000 as confirmation before entering. First target is $5,200 – $5,300. Stop loss should sit below $4,700 to protect against a deeper breakdown. Risk/reward on this setup is approximately 2:1 ,reasonable for a short-term swing. ⚠️ Not financial advice. Always do your own research and manage your risk carefully.
$BNB Breaks 610 USDT — Is This the Start of a Bigger Rally?
BNB just crossed the 610 $USDT mark with a solid 1.13% gain in the last 24 hours which is a pretty encouraging sign for the market right now. The 24-hour trading volume sits around 1.5 billion USD and the market cap is hovering near 82 billion. BNB Chain also recently activated the Fermi hard fork cutting block times to just 0.45 seconds making the network faster than ever.
#RSI is one of those indicators almost every serious trader touches at some point. It’s a momentum tool that measures the speed and strength of price movements to show whether an asset is overbought or oversold. It was created by in 1978, and it prints as a value between 0 and 100.
How It’s Calculated
The formula looks technical, but the logic is simple.
RSI = 100 − [100 / (1 + RS)]
RS stands for Relative Strength. It compares the average gains to the average losses over a specific period, usually 14 days by default. If gains are stronger than losses, RSI rises. If losses dominate, RSI falls. That’s it.
How to Read It
When RSI moves above 70, the asset may be overbought. That means price has moved up aggressively and could slow down or pull back.
When RSI drops below 30, the asset may be oversold. Price has fallen hard and could bounce.
Around 50, momentum is neutral. Buyers and sellers are relatively balanced.
Why Traders Use It
RSI helps with timing. It gives structure to entries and exits instead of guessing.
One of its strongest features is divergence. If price makes a new high but RSI does not, that bearish divergence can signal weakening momentum. The opposite suggests #bullish strength.
It also confirms trends. In strong uptrends, RSI often stays elevated. In downtrends, it remains suppressed. That context prevents traders from blindly fading momentum.
limitationsto keep in mind:
RSI is not magic. In powerful trends, it can stay overbought or oversold for a long time. That’s where beginners get trapped. Smart traders combine it with trend analysis, volume, and structure instead of using it alone.
#Uber just made a bold move. On February 18, 2026, the ride-sharing giant announced plans to invest over $100 million into building fast-charging hubs for autonomous vehicles across the United States.
This is not a small upgrade. It is a strategic shift.
⚡ The Big Infrastructure Push
The company will begin in San Francisco Bay Area, Los Angeles, and Dallas. These are not random picks. They are key markets where Uber plans to roll out public robotaxi services in partnership with companies like .
The goal is simple. If robotaxis are the future, Uber wants to own the fuel stations.
The investment covers charging equipment, site development, grid connections, and operational hubs. These hubs will also handle cleaning, inspections, and fleet maintenance. Think of it as building the backbone of a driverless empire. 🔋
🤝 Partnerships and Expansion
Uber plans to launch robotaxis with , and in key cities this year.
In Austin and Atlanta, Uber already works with for driverless rides, managing daily fleet operations.
The target? Launch self-driving taxi services in more than 10 cities by the end of 2026.
📈 Why This Matters
Uber is under pressure. Its stock has dropped 14% this year. Investors are questioning whether traditional ride-hailing can survive the autonomous wave.
By owning charging infrastructure, Uber is positioning itself as more than just an app. It wants to be the operating system of the robotaxi era.
After the announcement, shares rose 2.9%. A small bump, but a strong #signal
This is not just spending. It is survival strategy.
A Galvenā Biroja Paplašināšana #Bengaluru Alphabet Inc., Google mātes uzņēmums, plāno dramatiski paplašināt savu klātbūtni Indijā, ar iespēju iegūt miljoniem kvadrātpēdu jaunā biroja telpā Bengaluru, Indijas vadošajā tehnoloģiju centrā. Uzņēmums ir iznomājis vienu biroja torni un iegādājies iespējas uz diviem citiem Alembic City, attīstībā Baltā lauka tehnoloģiju koridorā, kopā sasniedzot 2,4 miljonus kvadrātpēdu. Pirmais tornis, kas izplatās aptuveni 650,000 kvadrātpēdu platībā, tiek gaidīts, ka tiks atvērts darbiniekiem nākamo mēnešu laikā, kamēr pārējo divu torņu būvniecība, visticamāk, tiks pabeigta līdz 2027. gadam.
Goldman Sachs ziņojumi par tirgus stresu: Kas notiek tagad
Akciju tirgus kratīšana (2026. gada februāris)
#GoldmanSachs norādīja uz ievērojamu svārstīgumu zem ASV akciju tirgus virsmas 2026. gada februāra sākumā. Šons Tuteja, kurš uzrauga ETF un pielāgotās grozu svārstīguma tirdzniecību Goldman Sachs Global Banking & Markets, apsprieda šīs kustības un iespējas, kas varētu rasties, ierakstīts 2026. gada 9. februārī.
Inflācijas atšķirība, kas rada bailes
Goldman Sachs galvenais ekonomists Jan Hatzius brīdināja klientus šī februāra laikā par paplašināšanos "inflācijas atšķirībā." Kamēr #CPI dati liecināja par inflācijas dzesēšanu tuvu 2.4%, Fed preferētais rādītājs, pamat PCE, seko daudz karstākajam 3.05% janvārī, izsaucot lielu pārstrukturēšanu 2026. gada procentu likmju samazināšanas ceļā. Nevis pavasara samazinājums, tirgi tagad sagaida, ka Fed saglabās likmes nemainīgas līdz 2026. gada vasarai.
Paaugstinātas novērtējums, kas veicina svārstīguma risku
Tirgus stress tiek pastiprināts ar satraucošiem novērtējuma ekstremiem: Buffett rādītājs ir sasniedzis rekordaugsto 223% no IKP, savukārt CAPE attiecība ir 39.9, otrā augstākā 150 gadu laikā. "Februāra zibens avārija" parādīja, cik trausli tirgi ir kļuvuši, kad novērtējumi ir tik plāni izstiepti.
Goldman finansu stresa indekss (FSI)
Goldman Sachs uzsāka savu ikdienas Finanšu Stresa Indeksu (#FSI ), lai sekotu tirgus stresam reālajā laikā. FSI uzrauga gaidāmās #volatility procentu likmju starpības, Valsts kases maiņas starpības un kredītu un akciju finansēšanas izmaksas, piedāvājot politikas veidotājiem un investoriem savlaicīgus signālus par jaunizveidotiem riskiem, negaidot mēneša atjauninājumus.
Ko Goldman Sachs iesaka
Goldman brīdinājums kalpo kā atgādinājums, ka ceļš uz 2% inflāciju reti ir lineārs. Investoriem gaidāmie mēneši prasīs uzmanību uz "drošības margu" un cenu spēku, uzņēmumi, kas var orientēties uz augstām izejmateriālu izmaksām, saglabājot izaugsmi, būs galvenie atšķirības faktori "augstāki ilgstoši" vidē.
Piegāde & Pieprasījums 📊 $BTC ir fiksēta piegāde '21 miljons monētu', vairāk nekad nepastāvēs. Kad pieprasījums pieaug, bet piedāvājums paliek ierobežots, cenas pieaug. Vienkārša ekonomika, bet ārkārtīgi ietekmīga kriptovalūtās.
Tirgus noskaņojums 😨😍 Kriptovalūta darbojas uz emocijām. 'Bailes & Avarīgo indekss' burtiski to mēra. Viena negatīva tvīts vai valsts, kas aizliedz kriptovalūtu, var sabojāt tirgu dažu stundu laikā. Noskaņojums, iespējams, ir īstermiņa cenu kustības visīsākais rādītājs.
Regulācija 🏛️ Kad ASV SEC apstiprināja 'Bitcoin spot #ETFs 2024. gada janvārī', tirgus pieauga. Kad Ķīna aizliedza kriptovalūtu ieguvi 2021. gadā, Bitcoin cena nokritās gandrīz **50%**. Valsts lēmumi nes milzīgu svaru.
Mikroekonomika 🌍 Kriptovalūta uzvedas kā riska aktīvs. Kad 'ASV Federālā rezervju sistēma paaugstina procentu likmes', ieguldītāji izņem naudu no spekulatīviem aktīviem, tostarp kriptovalūtām. Inflācija un dolāra stiprums tieši ietekmē cenas.
#bitcoin Dominance ₿ Bitcoin vada visu tirgu. Kad BTC cena krīt, altcoin parasti krīt 'vairāk'. Bitcoin dominējošā daļa šobrīd ir ap **50–60%** no kopējā kriptovalūtu tirgus kapitalizācijas.
## Institucionālā pieņemšana 🏦 BlackRock, Fidelity un MicroStrategy ienākšana kriptovalūtās ienesa 'miljardus kapitālā'. Institucionālais nauda piešķir likumību un stabilitāti — bet arī lielākas svārstības.
#Technology & Drošība 🔐 Protokola uzlabojumi palielina uzticību. Bet uzlaušanas to iznīcina. 'Ronin tīkla uzlaušana 2022. gadā' radīja zaudējumus virs **600 miljoniem dolāru**, sabojājot saistītās monētas nakti.
#Media & Ietekmētāji 📱 #ElonMusk tvīts par Dogecoin 2021. gadā izraisīja ***8,000%*** cenu pieaugumu. Mediju pārklājums veido mazumtirdzniecības ieguldītāju uzvedību vairāk, nekā vairums apzinās.
Kriptovalūta ir sarežģīta, vienmēr pēti pirms ieguldīšanas.🔍
6 Kriptovalūtu triki, kas man deva $47K (kamēr visi pārējie panikā pārdeva) 💎🙌
Skat, es neesmu kāds kriptovalūtu ģēnijs vai finansists ar uzticības fondu. Esmu tikai kāds, kurš sapratis, ka spēle nav par nākamā mēness lidojuma prognozēšanu. Tā ir par gudrāku spēlēšanu, kamēr visi pārējie spēlē muļķīgi. Šīs sešas stratēģijas burtiski mainīja visu man un godīgi, lielākā daļa cilvēku tās ignorēs, jo tās ir pārāk vienkāršas, lai izskatītos likumīgas. 1. Pērc, kad visi ir satraukti 😱 Šeit ir tas, ko neviens jums neteiks. Labākais laiks pirkt nav tad, kad kāds ietekmētājs kliedz par $BTC sasniedzot 100K. Tas ir tad, kad jūsu kolēģis jums saka, ka kriptovalūta ir mirusi, un jūsu mamma jums sūta rakstus par sabrukumu.
Divi #indicators . Viena liela atšķirība. Šeit ir, kā tos pareizi izmantot.
📈 Kas ir kustīgais vidējais?
Vienkāršais kustīgais vidējais (#SMA ) ir tieši tas, kā tas izklausās — tas ņem noslēguma cenas noteiktā dienu skaitā un vidējas tās vienādi. 20 dienu SMA pievieno pēdējās 20 noslēguma cenas un dalās ar 20. Katra cena šajā logā nes to pašu svaru, neatkarīgi no tā, cik veca tā ir.
💡 Tas padara SMA lēnāk — bet sānu vai haotiskos tirgos šī lēnums patiesībā ir iezīme. Tas filtrē troksni un novērš nepatiesus signālus.
⚡ Kas ir atšķirīgs EMA?
Eksponenciālais kustīgais vidējais (#EMA ) piešķir lielāku svaru jaunākajām cenām. 10 periodu EMA piešķir aptuveni 18% svaru šodienas cenai, savukārt 20 periodu EMA piešķir apmēram 9.5%. Tas padara to ātrāku reakcijai uz jauniem cenu datiem, īpaši noderīgi tendenciozos vai intraday tirgos.
Tirdzniecības risks? EMA ir jutīgāks, kas nozīmē, ka tas var jūs izsist konsolidācijas fāzēs. Ātrāks nav vienmēr labāks.
🛠️ Kā tirgotāji faktiski izmanto šos
Daudzi tirgotāji neizvēlas starp tiem, viņi izmanto abus kopā. Augošs EMA darbojas kā dinamiska atbalsts; cena, kas tuvojas tam, bieži ir pirkšanas iespēja. Tikmēr klasiskā Zelta krusts (50 dienu krusts virs 200 dienu SMA) norāda uz ilgtermiņa bullish momentu, savukārt Nāves krusts norāda uz pretējo.
Un šeit ir kaut kas, ko lielākā daļa iesācēju palaidīs garām: #MACD , viens no populārākajiem rādītājiem — ir burtiski tikai atšķirība starp 12 periodu un 26 periodu EMA. Iemācieties EMA, un jūs jau saprotat dzinēju aiz MACD. 🔥
🚨 Indija noraida iesaisti apgalvotajā ASV slepkavības sazvērestībā 🇮🇳🇺🇸
Liela starptautiska kontoversija attīstās pēc jaunākajiem notikumiem apgalvotajā slepkavības pasūtījumā, kas vērsts pret Gurpatwant Singh Pannun, ASV- Kanādas pilsoni un sikhu separātistu līderi, kurš dzīvo Ņujorkā.
2026. gada 13. februārī Nikhil Gupta, Indijas pilsonis, atzina sevi par vainīgu Manhetenas federālajā tiesā apsūdzībās, kas ietver slepkavību par samaksu un naudas atmazgāšanas sazvērestību. Viņš tagad saskaras ar līdz pat 40 gadiem cietumā, ar sodu, kas plānots 2026. gada 29. maijā.
ASV prokurori apgalvo, ka Gupta tika pieņemts darbā #Vikash Yadav, bijušais Indijas valdības darbinieks, kas saistīts ar Indijas izlūkdienestu struktūru, lai organizētu slepkavību 2023. gadā. Tiesas dokumenti atklāj, ka tika vienojoties par maksājumu 100 000 USD apmērā, ar 15 000 USD, kas, ziņots, tika samaksāti iepriekš. Plāns tika atklāts pēc tam, kad Gupta neapzināti sazinājās ar ASV slepenajiem tiesībaizsardzības iestāžu darbiniekiem, kas izlikās par slepkavām.
🇮🇳 Indijas pozīcija: Indijas valdība stingri noraida jebkādu oficiālu iesaisti, paziņojot, ka šādas darbības ir pret valdības politiku. Amatpersonas apstiprināja, ka Yadav vairs nav valdības darbinieks. Tika izveidota izmeklēšanas komiteja, kas tikusies ar ASV varasiestādēm, Vašingtonai izsakot apmierinātību ar Indijas sadarbību līdz šim.
🌍 Šis gadījums ir piesaistījis uzmanību arī saistībā ar spriedzi starp #India un #Canada par atsevišķo sikhu aktīvista Hardeep Singh Nijjar slepkavību 2023. gadā.
Neskatoties uz diplomātiskām spriedzēm, Indija un #US turpina uzturēt savu stratēģisko partnerību.
Šis gadījums rada nopietnus jautājumus par suverenitāti, izlūkdienestu operācijām un starptautisko likumu.
🚨 Kā cilvēki tika apkrāpti ar bijušā Ņujorkas mēra memekoinu
Hype, kas pārvērtās par murgiem 💸
Bijušais Ņujorkas mērs Ēriks #Adams uzsāka "NYC Token" spilgtā preses konferencē Times Square 2026. gada janvārī. Viņš solīja, ka tas kaut kā cīnīsies pret antisemītismu (jā, mēs arī esam apjukuši 🤔). Monētas tirgus kapitalizācija uzlēca līdz 600 miljoniem dolāru gandrīz nekavējoties.
Kritums, kas satricināja visus 📉
Tikai 30 minūtes pēc uzsākšanas notika katastrofa. Tokena vērtība kritās vairāk nekā par 81% tā sauktā "rug pull" laikā, būtībā izstrādātāji paņēma savu naudu un aizbēga. Seifa, kas bija saistīts ar komandu, izņēma 2,5 miljonus dolāru, atstājot investorus ar bezvērtīgām monētām.
Reāli cilvēki, reālas zaudējumi 😔
Viens tirgotājs zaudēja 473 500 dolāru mazāk nekā 20 minūtēs. Tas ir 63,5% zaudējums laikā, kas nepieciešams, lai noskatītos sitcom sēriju. Aptuveni 500 miljoni dolāru papīra vērtībā pazuda gaisā.
"Ne mēs!" aizsardzība 🙄
Adama komanda apgalvoja, ka viņi neko neizņēma, tikai viņu "tirgus veidotājs" veica "pielāgojumus." Jā. Tas ir tas pats puisis, kurš nosauca sevi par "$BTC Mērs" un saņēma savus algas čekus kriptovalūtā.
🚨 Trump's Next Crypto Coin in 2026? Here's the REAL Story
📉 The $TRUMP Disaster We Can't Forget Remember January 2025? TRUMP exploded to $27 billion market cap in 24 hours, then crashed 90%! 💥
The brutal reality: 813,294 wallets lost $2 billion 😱 $MELANIA fell 99%, TRUMP dopped 86% Trump's company? Pocketed $100 million in fees 💰
💸 The Trump Family's Crypto Gold Mine Reuters revealed the Trump family made over $802 million from crypto in early 2025 alone! That's now 90%+ of their income. 🤯
A House report found Trump's policies directly benefited his family's crypto ventures. Coincidence? 🤔 ⚠️ If Another Trump Coin Drops in 2026..
Here's the playbook: ✅ 24-48 hours of hype - FOMO kicks in hard 📉 Meme coins tank - #DOGE , #SHIB , $PEPE all fell 6-10% last time 💥 The inevitable crash - Insiders cash out, retail holds bags
🔴 Why 2026 Is WORSE The market is already bleeding: Bitcoin crashed from $126K to under $60K 📊 Market cap fell from $4.38T to $2.42T Fear & Greed Index hit extreme fear (5-6) 😰 Another Trump coin would be gasoline on a fire 🔥
💡Pattern recognition: Massive hype → Insider profits → Retail loses billions Polymarket shows 27% odds Trump launches another coin this year. Trump Media already confirmed plans!
My Analysis: yes it can be , 2026 can be the worst year for crypto if the CLARITY Act doesn't pass this year. The crypto market is already bleeding red across the board. While we might see small bounces here and there, if the #CLARITYAct fails to pass, the market will continue its downward spiral throughout 2026.
The Numbers Tell the Story The data backs up this grim outlook. $BTC has crashed to around $67,000 as of mid-February 2026, down a staggering 45-50% from its late-2025 peak of $126,000. The entire crypto market capitalization has collapsed from its October 2025 highs, with altcoins suffering even worse losses.
The CLARITY Act: Our Last Hope The Digital Asset Market Clarity Act has become the industry's lifeline. Negotiations are ongoing with hopes for a solution by end of February, but there's growing concern it could be delayed beyond 2026. Without this regulatory framework, uncertainty will continue crushing market confidence. As Galaxy CEO Mike Novogratz said, the industry needs this bill to restore "spirit back in the crypto market."
My prediction stands: expect continued volatility and downward pressure if the CLARITY Act doesn't pass. Small relief rallies are possible, but without regulatory clarity, 2026 will cement itself as one of crypto's darkest years.
Epstein Files Show His Quiet Footprint in Early Crypto Funding
Newly released Epstein documents point to an uncomfortable reality: during cryptocurrency’s early and fragile years, money linked to Jeffrey #Epstein intersected with institutions and individuals involved in crypto’s development. While Epstein did not create Bitcoin or control the industry, his financial footprint appears in places that helped shape its early ecosystem. The Coinbase Connection Jeffrey Epstein was deeply embedded in elite financial and academic circles, and documents suggest that a trust linked to him may have gained indirect exposure to during its early funding years. At the time, $BTC was still considered a fringe experiment, and early equity in crypto companies later became enormously valuable. While Coinbase has denied direct investment from Epstein himself, records indicate that Epstein-linked entities may have benefited from early-stage crypto exposure through secondary or trust-based arrangements. An Early Exit With Outsized Returns By 2018, Epstein-linked trusts reportedly sold Coinbase-related equity to , locking in substantial gains well before the exchange became a public-market giant. Today, Coinbase’s valuation underscores how lucrative even indirect early exposure to crypto infrastructure proved to be. Funding Bitcoin Infrastructure Epstein’s financial links extended beyond exchange equity. Records show that he donated roughly $500,000 to , a firm focused on Bitcoin’s core infrastructure. These funds were routed through the #MIT Media Lab, then led by , highlighting how Epstein’s money moved through respected academic institutions rather than directly into crypto projects. The MIT Pipeline During a critical funding shortage around 2014, Epstein-linked donations flowed through MIT’s Digital Currency Initiative, a research hub that supported Bitcoin developers and related work. While #Bitcoin Core did not depend on Epstein to survive, funding routed through academic channels helped sustain developer activity at a time when resources were scarce. His money intersected with Bitcoin’s development pipeline during a vulnerable phase , not as a controlling force, but as part of the financial environment surrounding early crypto research. Silicon Valley Connections Email records also show Epstein cultivated relationships with influential figures across technology and crypto circles, including Brock Pierce, Fred Ehrsam, and Reid Hoffman. There is no evidence these individuals engaged in illegal activity or were aware of Epstein’s crimes at the time. However, the correspondence illustrates how Epstein positioned himself as a financier and advisor within emerging technology networks, including crypto. The Quiet Response Since the release of these documents, the broader crypto industry response has been muted. Many firms emphasize that Epstein held no formal leadership roles and exercised no control over $BTC or major crypto platforms. Still, the lack of deeper reflection highlights an uncomfortable truth: innovative technologies often grow through imperfect funding sources, especially in their earliest days. The Uncomfortable Reality Bitcoin was not built by Jeffrey Epstein, nor was the cryptocurrency revolution driven by him. But parts of the early crypto ecosystem intersected with money tied to a convicted predator’s fortune, raising difficult questions about how emerging technologies are funded and who gets access to influence during their most fragile stages. That history doesn’t define crypto , but it does deserve to be acknowledged.