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апаратний гаманець Ledger запускає офлайн відновлення Секретний ключ для нового Гаманець

Gate News bot повідомляє, що за даними CoinTelegraph, основний постачальник апаратних криптоактивів гаманець Ledger випустив інструмент для відновлення закритих ключів в офлайн-режимі, що допомагає користувачам відновити доступ до свого крипто-гаманця без необхідності покладатися на хмарні сервіси або особисті дані.
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Food for thought: Market Trends Shift Silicon Valley and Signature Bank have had a significant impact on the market, as evidenced by the current trends. The Inflationary Trade has been replaced by the Recessionary Trade, and investors are flocking to the safety of bonds. The U.S. 2-year bond yield has dropped from 5% to 4%, while the 10-year bond yield has fallen from 4% to 3.4%. This is a clear sign that investors are concerned about the state of the economy and are looking for safe havens for their money. Most commodities have also taken a hit, as investors become increasingly risk-averse. This is another sign that the market is anticipating a period of economic uncertainty. The Federal Reserve is also closely monitoring these trends, and there has been a shift in expectations for their upcoming meeting on March 22. Only a 72% probability of a 25 point-hike is predicted, which is a drop from the 80% probability of a 50 point-hike that was predicted just a week ago. Overall, it is clear that the market is reacting to the current state of the economy, and investors are looking for safe investments to weather the storm. The impact of Silicon Valley and Signature Bank is just one piece of a larger puzzle, but it is clear that their influence is being felt in the current market trends. Traders should be on the lookout for additional market volatility this week as several key macroeconomic events are scheduled to take place. On Tuesday, the Consumer Price Index [CPI] will be released, followed by the Producer Price Index [PPI] on Wednesday. Finally, on Thursday, the jobless claims report will be published.
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Food for thought: BTC Bull Narrative Resurgence Bitcoin, the world's largest cryptocurrency, is experiencing a new bullish phase, driven by a narrative that encompasses several factors. One of the main drivers is the Federal Reserve's informal quantitative easing program to prevent a market-wide collapse of the bank sector, which is expected to continue until March 2024. Another key factor is the upcoming Bitcoin halving, which is expected to occur in around 420 days. This event, which happens roughly every four years, reduces the amount of new Bitcoin that is issued to miners by 50%. This reduces the supply of new coins entering the market, which could potentially increase their value. Major institutions and retail traders have also played a role in driving the current Bitcoin rally. Many have given up their bearish positions on the cryptocurrency and are now actively buying and holding Bitcoin. This increased demand is seen as a positive signal for Bitcoin's long-term prospects. The recent bailouts of crypto-friendly banks have also contributed to the narrative driving the Bitcoin bull cycle. The bailouts have revealed the inefficiency of banks as self-custodians of funds, which has led to increased interest in self-custody solutions such as Bitcoin. As a decentralized and trustless system, Bitcoin is seen as a more secure way to store and transfer wealth. Hong Kong's emergence as a crypto hub and China's relaxation of regulations on cryptocurrency trading have also been cited as factors driving the current Bitcoin rally. These developments have led to increased adoption of Bitcoin and other cryptocurrencies in Asia, which is seen as a significant growth market for the industry. Finally, a generational shift from baby boomers to Generation Z is seen as a potential driver of Bitcoin's long-term success. Younger generations are generally more comfortable with technology and more skeptical of traditional financial institutions. This has led to increased interest in cryptocurrencies as a new and disruptive form of finance. In conclusion, Bitcoin's current bullish phase is being driven by a combination of factors, including the Federal Reserve's QE program, the upcoming Bitcoin halving, increased institutional and retail adoption, the inefficiency of traditional banking systems, Asia's growing adoption of cryptocurrencies, and a generational shift towards new forms of finance. While the cryptocurrency market remains volatile and unpredictable, many observers remain optimistic about Bitcoin's long-term prospects.
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World War III Has Already Begun: How an Energy Crisis Could Impact Bitcoin and Global Politics

An energy crisis from hydrocarbon shortages could cause economic and geopolitical effects, with the US likely to dominate as an energy producer. The EU, Japan, and China may have to print money to buy expensive oil. Hard assets like gold and Bitcoin may benefit from loose monetary policy, but Bitcoin mining could be affected. Renewable energy sources could become more attractive, leading to a sustainable energy infrastructure.
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Market Wizards - Market Rewards Persistency and Discipline The book "Market Wizards" by Jack Schwager is a must-read for anyone interested in finance and investing, as it offers a unique look into the world of successful traders. What's interesting is that the traders featured in the book come from diverse backgrounds, but they all share one common trait - they have achieved exceptional success in the markets. The book provides valuable lessons on the strategies, philosophies, and experiences of these traders, and emphasizes the importance of having a well-defined trading system, managing risk, and maintaining a positive mindset. One of the key takeaways from the book is that persistent learners are rewarded in the market. The traders interviewed by Schwager stress the importance of having a system in place to eliminate emotion and bias from the decision-making process. They also emphasize the importance of being disciplined and sticking to the system, even when faced with losses. Moreover, the traders have a set of strict rules they follow, regardless of market conditions, ensuring that their decisions are based on objective criteria. Another crucial aspect of successful trading highlighted in the book is risk management. The traders understand that risk is inherent in trading and that managing it properly is crucial to long-term success. They discuss the importance of having a well-defined risk management plan in place to protect their capital and prevent large losses. Diversification of the portfolio is also crucial to reduce overall risk. The traders also share their thoughts on the psychology of trading. They discuss how having a positive mindset, the ability to stay calm under pressure, and being able to accept losses without letting emotions drive decisions is crucial to success. They stress the importance of being able to handle the stress of trading while maintaining a healthy work-life balance. In conclusion, "Market Wizards" provides valuable insights into the world of successful trading, highlighting the importance of having a well-defined trading system, managing risk, and maintaining a positive mindset. The book's practical advice and lessons can be applied to any type of trading or investing, making it a must-read for anyone looking to gain a deeper understanding of the world of finance and investing. Ultimately, the book's message is clear: the market rewards those who are persistent learners and disciplined traders.

The Hidden Design Flaw That Contributed to Solana's 20-Hour Outage

The recent 20-hour outage of Solana is just one of several issues caused by a design flaw in the network's consensus mechanism. By handling all consensus on-chain, the vast majority of transactions are actually validator messages, which can overload the system and make it difficult to recover from outages. The network also generates an excessive amount of data for full nodes, requiring data centers to run them.
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Some Crypto Tips and Insights Firstly, while I believe we're in the early stages of the echo bubble, it's crucial to take profits during times of alt euphoria. Shorting, P/L screenshots, and other altcoin-related activities are tempting, but it's essential to stay level-headed and avoid becoming overly attached to any one particular asset. In crypto, staying impressionable is key. As narratives evolve, those who resist risk getting stuck on the sidelines and becoming exit liquidity. It's best to be like water and adapt to the changes in the market. In traditional finance, it's challenging to gain an information edge in an efficient market. However, in crypto, being early to narratives/liquidity rotation is a mix of timing, luck, and information edge. To gain an information edge in the crypto market, it's crucial to follow the right accounts, be in the right discord or telegram groups, and focus on providing value in a specific niche so that you become irreplaceable. News trading is becoming increasingly difficult due to bots and scraping tools that can act faster than human beings. Therefore, it's best to be early to narratives, think like larger accounts, and wait for them to promote your asset, providing you with liquidity. If you're reading this, you've been through the bear market, squeezing water out of rocks. Don't forget why we grinded through it and why the juice is worth the squeeze. When it comes to macroeconomic factors like inflation, it's best to largely ignore memes like "recession" or "inflation." Most of them are self-fulfilling prophecies. For example, if you think car price inflation will be higher in the coming months, you may buy the car earlier to front-run, leading to an inventory shortage and ultimately inflation. However, politics of inflation may shift to politics of recession in 2023, making it a deflationary year. Finally, international factors like Europe's 80% cut in Russian gas imports and a 20-25% total gas consumption cut without crushing aggregate activity are worth noting. Be wary of project teams and VCs who have been quiet during this impulse move up. They may return to their grifter ways, looking to create exit pumps when retail investors return to the market. Remember, staying impressionable and critical thinking are not mutually exclusive. In conclusion, watch the world around you with glittering eyes because the greatest secrets are always hidden in the most unlikely places.
Copy Trading: A Guide to Doing it Right In recent years, copy trading has gained a lot of popularity, with many traders taking advantage of the ability to replicate the trades of more experienced traders. However, the practice has also received criticism, with some people believing that copy trading means you lack skills as a trader. In this article, we will explore copy trading and how to do it right. Copy trading is not bad. It doesn't mean you don't have any skills. In fact, many professional traders use copy trading to augment their existing strategies. Copy trading can help you learn from the experience of others and potentially increase your profitability. However, the key to successful copy trading is how you approach it. Here are some important things to keep in mind: 1. Have a Plan When you copy a trade from someone, make sure you have a plan for it. Most people see a tweet or social media post and quickly jump into a trade without any real thought. They often don't even set up proper notification systems to know when to get out. To avoid this, make a plan for the exit and stick to it. This means deciding on your profit targets and stop loss levels before entering a trade. It also means being disciplined enough to exit the trade when your plan tells you to, regardless of what others are doing. 2. It's Okay to Disagree Just because someone has a high level of experience or has made successful trades in the past does not mean that all of their trades will work out. You should never blindly follow someone else's trades without first considering whether they align with your own trading strategy and thesis. If you disagree with a trade, skip it. It's okay to fade giga brains. Only copy trades that you have conviction in and that align with your own trading thesis. 3. Have Conviction If you copy a trade without having the same thesis, you will get shaken out too easily. You need to have conviction in the trade you are making, and this requires doing your own research and analysis. Only when you are confident in the thesis will you be able to sail through the rough waters. This means being disciplined enough to stick to your plan and not get swayed by short-term market fluctuations. 4. Take Full Responsibility One of the main reasons copy trading is so popular is that it shifts responsibility from your inability to others. If you lose, they were wrong. If you win, you were right. This is a bad mindset to have. You need to take full responsibility for your trades, whether you are copying someone else's or making your own. This means owning up to your mistakes and learning from them, as well as giving credit when credits are due. In conclusion, copy trading is a great skill to have when done right. It can help you learn from the experience of others and potentially increase your profitability. However, you need to approach it with discipline, conviction, and responsibility. Make sure you have a plan, only copy trades that you have conviction in, and take full responsibility for your trades. By following these guidelines, you can make copy trading work for you.
[币取消息👀] 香港加密货币交易合规🎉 各位币圈的兄弟们下午好 ✅关注我每天给你最干的干货 香港证监会证实比特币跟以太币将在香港交易平台上市📈 根据香港交易所牌照咨询文件 📍证监会将发布虚拟资产牌照 📍用户需要进行风险评估后才可以交易 📍交易所需要维持不少于500万港元的缴足股本、设立保险制度 📍牌照生效后公布交易所名单 ⚠️但是⚠️ 根据《证券及期货条例》,可能暂时不开放合约等衍生性商品交易 ⚠️而且⚠️ 平台若没牌照的情况下投资者进行推广,则属于违反打击洗钱有关条例规定 消息一出,直接带动香港概念股,像是KEY、ACH、CFX等直接喷发 加上上周 Conflux Network 官方推特上宣布,已与中国电信达成合作,计划于今年在香港推出首个区块链 SIM 卡 CFX 与 A 股中国电信整个喷发,中国电信三个交易日内两度触及涨停 目前香港本土的加密项目大约有 50 多个,近半分布在 CeFi、CEX 领域,还有些游戏、元宇宙领域的 但我有个问题是,区块链有地域性的问题吗?难道我今天某项目搬到香港也要混一起说是香港概念币就喷发吗? 👇各位兄弟觉得牛市已经正式启动了吗?请在以下评论区告诉我你的想法👇 希望这篇有帮助到各位 如果你喜欢 那个赞👍给他点起来就对了 ✅关注我每天给你最干的干货 谢谢各位兄弟了 #香港##加密货币##监管# #CFX##中国电信# #人潮带动钱潮带动交易量带动币价#
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Unleashing Your Inner Water: Bruce Lee's Guide to Being Human

"Be Water, My Friend" by Shannon Lee showcases Bruce Lee's martial arts teachings for personal development, including being like water, staying dedicated, true to oneself, adaptable, and embracing sim
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Mastering the Art of Trading: Build a Strong Foundation through a Well-Planned Approach Having a well-defined plan is essential for achieving success and realizing gains in the trading world. Although many people talk about having a plan, few actually show how to create one. Here, I am sharing my personal trading plan that has improved my profitability over time and has helped me navigate the market. It is important to note that this plan is tailored to my personal style and goals, as though I prefer day trading to keep myself busy, I’ve also developed a medium to a long-term approach to diversify my investments. Every trader must tailor their own plan to their individual needs. The plan begins by analyzing the trend in the market. I look for bullish or long setups and avoid bearish or short positions. To determine if a market is in a bearish phase, I look for the pattern of a lower high [LH] and a lower low [LL], as well as the price being below the relevant exponential moving averages [EMAs]. Conversely, to identify a bullish phase, I look for a higher high [HH] and a higher low [HL], along with the price being above relevant EMAs. I primarily use the 9-day EMA, but also consider the 21-day EMA. Another factor I consider is the leading sector in the market. The sector that is showing strength in terms of price action is generally the easiest to trade. If no leading sector can be found, I avoid trading and wait. I also avoid trading in markets that are already parabolic in nature. To help keep my outlook organized, I build a watchlist of the names in the leading sector and add benchmarks, such as Bitcoin [$BTC$], Ethereum [$ETH$], and the US dollar index [DXY], for reference. I then narrow down my list to the top 3-5 names and filtered for the best setups. I look for charts that show HH and HL patterns, as well as being above the 9-day or 21-day EMA. I also look for accumulation zones but am cautious in distinguishing between accumulation and distribution. Finally, I look for bull flags and closures above past highs or resistances as a way to scan for potential trades. This method is simple and profitable if done correctly, but there are many other patterns, indicators, and techniques that can be used. The key is to not force trades and wait for the right opportunities.
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🎯SpaceX successfully test fires Starship boosters in key step before first orbital launch 🤔Thought: We are getting closer to get to mars eh, Elon? Hmm some tokens will explode soon📡🚀🛰️
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$PRO зростає більш ніж на 15% після запуску Propy з іпотекою, забезпеченою BTC

$PRO
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$DESCI зросла на 24% після оголошення про запуск Основної мережі

Gate.io Новини
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$BLOCX зросла більш ніж на 21% після запуску основної мережі BLOCX 2.0

$BLOCX
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Odaily Planet Daily News, зосереджена на сумісності IBC, Рівень 2 проект Polymer Labs оголосив про партнерство з Nethermind, командою Блокчейн розвитку інфраструктури, для запуску Monomer SDK. Основні характеристики мономера наступні: -Сумісність з Cosmos SDK та ABCI: Monomer дозволяє розгортання будь-якого ланцюжка додатків, сумісного з Cosmos SDK або ABCI, як Rollup на Ethereum. -Налаштування та гнучкість: на відміну від більшості фреймворків Rollup для Ethereum, які фокусуються на сумісності з EVM, Monomer підтримує широкі можливості налаштування через Cosmos SDK, включаючи заміну базового зберігання ключ-значення та структури даних для підтвердження стану. - Підтримка висококваліфікованих розробників: технологічний стек Cosmos має багату документацію та ресурси, що полегшують розробку та інновації для розробників. -Інноваційний імпорт: Monomer сприяє інтеграції інноваційних технологій Cosmos в екосистему Ethereum, наприклад, SDK блокування пропусків, що посилює технічний набір інструментів, доступних для розробників Ethereum. - Різноманітна підтримка віртуальних машин: розробники можуть використовувати різні типи віртуальних машин (включаючи EVM і CosmWasm) для розгортання Rollup, використовуючи мову програмування Go для написання логіки, специфічної для додатків, без залежності від віртуальної машини. Маршрутна карта Monomer включає інтеграцію сортувальника, заснованого на CometBFT, та можливе використання вбудованої машини-оракула Skip's Slinky. Ці технічні вдосконалення спрямовані на поліпшення способу роботи Monomer та взаємодії з іншими системами, зроблять платформу більш потужною та універсальною.
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$KEY $CFX $MDT Пристойна динаміка цін і хороший потенціал
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Financial Markets See Changes in Fed Funds Rate, Yield Curve, and Correlation Between Stocks and Bond Yields Fed Funds Rate Expectations: The Fed funds rate is a key interest rate that the Federal Reserve uses to manage the economy. There has been a shift in expectations regarding the future path of the fed funds rate, with investors anticipating a more aggressive stance from the central bank. Specifically, there are predictions of an additional 75 basis points increase during the current cycle. This has implications for various financial instruments, including bonds and stocks. Yield Curve Steepening: The yield curve is a graph that plots the yields of bonds with different maturities. Recently, there has been a growing consensus among investors that the yield curve will become steeper over the next 12 months. This means that the spread between short-term and long-term interest rates will widen. The implications of a steep yield curve could be significant for various sectors of the economy, such as banks and housing. Stocks and Bond Yields Correlation: Typically, when stocks rise, bond yields fall, and vice versa. However, in recent weeks, stocks and bond yields have been rising together. This positive correlation is a departure from the norm and could have implications for how investors diversify their portfolios.
From Inflation to Systemic Credit Events: How Investor Sentiment is Shifting As of March 2023, investors are more worried about a systemic credit event rather than inflation as the key risk to markets. This shift in concern highlights the fragile state of the global economy and the uncertainty around the future. The fear of a systemic credit event replacing inflation as the key risk to markets is a reflection of the ongoing instability in the financial system. A systemic credit event occurs when a disruption in the financial system causes a widespread default of debt obligations, leading to a ripple effect throughout the economy. This can lead to a collapse of the financial system and trigger an economic recession. The shift in investor sentiment is a cause for concern, as the market is becoming increasingly pessimistic about the outlook for the global economy. The fear of stagflation, a phenomenon where inflation and stagnation occur simultaneously, has also been rising. According to the latest FMS investor survey, expectations for stagflation have remained above 80% for 10 months in a row. Investors have never held such strong conviction about the economic outlook. The continued uncertainty surrounding the global economy has led to a significant shift in investor behavior. Many investors are now focusing on more defensive investment strategies, such as investing in gold and other safe-haven assets. Others are investing in stocks that are more resilient to economic downturns, such as healthcare and technology. The increasing pessimism among investors highlights the need for governments and central banks to take proactive measures to stabilize the global economy. This may include fiscal and monetary policy interventions, such as stimulus packages, interest rate cuts, and quantitative easing measures. These policies can help to boost economic activity and restore investor confidence in the markets. In conclusion, the shift in investor sentiment from stubborn inflation to a systemic credit event is a worrying trend that highlights the fragility of the global economy. The fear of stagflation has also been rising, further exacerbating investor concerns. It is important for governments and central banks to take proactive measures to stabilize the economy and restore investor confidence in the markets.
PANews 3月15日消息,据官方消息,基于ZK的可编程隐私Layer1区块链Manta Network宣布,基于零知识证明(ZK)的隐私转账协议MantaPay正式在其先行网Calamari上线;待主网上线后,MantaPay将正式于主网部署。 据悉,MantaPay是基于ZK技术的、支持多资产的去中心化隐私转账协议,用户可将 ERC20等多种类型的资产,桥接至MantaPay,实现隐私转账,未来可支持ERC721、ERC1155等NFT资产及SBT隐私转账。MantaPay也提供Viewing Key ,支持用户在需要时自主披露信息。
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[2/2] Different Types of Narrative [1] The News Trade [Short-term] The focus of the News Trade is usually on short-term trading and front-running a one-time news event, rather than holding a position beyond it. Shorting opportunities on lower time frames may arise after the news is released. For instance, the announcement of a partnership by Avalanche led to a 4% movement. [2] The Flavor of the Week Trade [Long-term] The Flavor of the Week Trade typically involves a high time frame [HTF] and centers around a prominent coin that garners significant attention and consistently outperforms other assets. This strategy often involves buying the dip [BTD] depending on market conditions, and the most critical aspect is determining the ideal exit point. For instance, $APT$ serves as an illustration of this trading approach. [3] The Correlation Trade [Short-term and Long-term] The Correlation Trade can occur on either a lower time frame [LTF] or higher time frame [HTF]. Traders who use this strategy avoid longing coins that have recently experienced a pump and instead search for correlated assets that are likely to follow a similar trajectory. These coins are usually in the same "basket." The crucial factors for success in this approach are speed and selecting the appropriate assets. For example, $AXS$ into $GMT$ represented a typical instance of the Correlation Trade. [4] The Catalyst Trade [Long-term] The Catalyst Trade operates on a high time frame [HTF] and centers around news that can be front-run, such as catalysts or unlocks. Unlocks are not always bearish, and technical upgrades are not always bullish. The key factor in this strategy is to examine the market's risk appetite. For example, $dYdX$ v4 is a well-known instance that continues to rise significantly, while $MAGIC$ represents a bullish unlock. [5] Additional Tip Although there is more complexity to the process, categorizing each trade has substantially aided me in determining how to tackle them. It is essential to have a well-defined strategy and maintain discipline. Remember, it’s a marathon, not a race.
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Terraform Labs відкриє портал для подачі заяв на банкрутство, кредитори зможуть подавати заявки на компенсацію.

Новини Gate.io, за повідомленням Theblock, Terraform Labs оголосила про запуск порталу заяв на банкрутство "Crypto Loss Claims Portal" 31 березня. Компанія подала на банкрутство в січні 2024 року через крах TerraUSD та LUNA. Кредитори повинні завершити реєстрацію заявок на компенсацію до 30 квітня 2025 року. Для подання заявки необхідно надати адресу гаманця або ключ API лише для читання; якщо обирається подання ручних доказів, таких як торгові записи, процес перевірки буде подовжено. Згідно з попередніми даними, план реорганізації Terraform Labs показує, що сума компенсації кредиторам коливається від 185 мільйонів до 442 мільйонів доларів.
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$GRAIL Gains Over 22% After Integrating Into @KyberNetwork's Liquidity Aggregator

Gate.io news: $GRAIL is currently among the top gainers today following a significant over 22% price increase rising from $1,954 to $2,500 in the last 24 hours, while it's currently trading at $2,482. The price increase comes as @CamelotDEX confirms its integration into @KyberNetwork's liquidity aggregator. Camelot has deep pools for all of the key Arbitrum protocols, and this integration will give users access to more tokens and better liquidity.
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Abstract Global Wallet випустив оновлення безпеки для обмеження використання сеансових ключів

Abstract: Global Wallet представив серйозне покращення безпеки, яке обмежує використання ключів сеансу в схвалених програмах, щоб зменшити ризик компрометації коштів користувачів шкідливими ключами сеансів. Хоча це не є гарантією абсолютної безпеки, це допомагає покращити безпеку гаманця.
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Arkham запускає тег KOL, і адреси KOL більш ніж 100 000 підписників на X будуть позначені тегами

BlockBeats News, 8 березня Arkham оголосив про запуск тега «Key Opinion Leader (KOL)», адреси KOL з більш ніж 100 000 підписників на X тепер будуть позначені на Arkham як новий хештег: Key Opinion Leader.
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29 квітня Shangwang Network оголосила, що підписала новий раунд стратегічного співробітництва з China Telecom, і її глобальна безкоштовна інтернет-платформа WiFi Master Key продовжить співпрацювати з China Telecom «Love WiFi», щоб дослідити безпрограшну ситуацію у співпраці та режимі спільної точки доступу. Згідно з повідомленнями, завдяки співпраці з China Telecom було значно покращено покриття ресурсів точок доступу WiFi Master Key, а кількість власноруч побудованих і спільно побудованих точок доступу наблизилася до k.
Уоррен Баффет якось сказав: «Будь страшним, коли інші жадібні, і жадібним, коли інші бояться». Але як визначити найкращі можливості для купівлі та продажу? Ось список основних, але корисних показників, які допоможуть спланувати стратегії входу та виходу. Ключові індикатори, які виділено, включають ставки фінансування на ринках похідних інструментів, які врівноважують довгі та короткі позиції та можуть сигналізувати про потенційні розвороти ринку. Дані про відкриті інтереси також можуть дати розуміння ринкових настроїв, показуючи загальний розмір неврегульованих угод. Для відстеження цих та інших ключових даних рекомендуються такі інструменти, як Coinglass і сторінка статистики GMX. Корекції Фібоначчі також корисні для визначення потенційних точок входу та виходу з інвестицій. Однак ці показники мають бути частиною ширшої стратегії, оскільки вони можуть покращити розуміння ринку та допомогти спланувати угоди.
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Odaily星球日报讯 Manta Network宣布推出基于零知识证明(ZK)的隐私NFT / SBT发行平台NPO(NFT Private Offering)。NPO建立在zkAddress和MantaPay的ZK电路之上。Manta Network将ZK复杂性抽象出来,开发者无需了解技术或密码学知识,通过使用SDK即可发行隐私NFT和SBT。zkNFT和zkSBT具备NFT / SBT相同的易用性,且具有即插即用性,开发者可将其与Web2 App或Web3 DApp连接,从而将链上信息,通过ZK Proof Key与链下应用绑定,创造全新应用。
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Collateral Damage: Why Banks Are Bearing the Brunt of Central Banks' Short-Sightedness

Central banks' obsession with inflation over financial stability and the lack of regulation and oversight have led to private debt ballooning and banks becoming collateral damage in a class war. The recent turmoil in financial markets highlights the need for greater transparency and communication with the public.
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Banking Updates: Credit Suisse and SVB Financial Group Face Challenges Credit Suisse is facing a liquidity crisis, and the Swiss National Bank is taking steps to prevent the situation from deteriorating. The authorities have decided to provide $54 billion of liquidity through a covered loan facility and standard central bank lending to support Credit Suisse's funding position. The hope is that this backstop will keep private sector liquidity providers engaged with Credit Suisse. In addition, the authorities are providing more information on Credit Suisse's capital, liquidity, and asset portfolio to reassure investors and counterparties about its finances and assets. This includes limited unrealized losses on bonds net of hedges and the quality of the large loan book funders ultimately finance. Furthermore, Credit Suisse is taking advantage of its improved liquidity to launch buybacks of some debt securities. This move improves equity at the margin and engineers a near-term short squeeze, reversing dynamics associated with bail-in risk. However, the key vulnerability remains: the Swiss National Bank can provide $54 billion of liquidity and still be well collateralized. But given the nature of Credit Suisse's assets, it cannot escalate without taking on a lot of credit risk. This would have to be mitigated with additional equity, likely involving bail-in of Credit Suisse's debt. So there is a risk of returning to unstable dynamics. SVB Financial Group has filed for Chapter 11 bankruptcy, but its securities and funds continue to operate as normal. The Chapter 11 process will allow SVB Financial Group to evaluate strategic alternatives for its businesses and assets, especially SVB Capital and SVB Securities. The hope is to preserve the value of the company and sell off parts of the capital structure for pennies on the dollar.
The Inflation Conundrum: Cooling Off or Just a Temporary Reprieve? The Consumer Price Index [CPI] is an important economic indicator that measures the average change over time in the prices of goods and services commonly consumed by households. In this particular instance, the CPI reading for a particular month showed a 6.0% inflation rate, which is a relatively high number. However, it is important to look beyond the headline figure and examine the underlying factors contributing to inflation. The report suggests that there was generally sticky core inflation, which refers to inflation that is not driven by temporary factors, and this was particularly evident in the food sector. Rent and shelter costs also continued to increase, which is a concerning trend given the important role of housing in the economy. On the other hand, the report noted that used car prices fell and energy prices decreased drastically, which helped to offset some of the inflationary pressures. In addition, goods inflation continued to retreat, suggesting that supply chain issues may be starting to ease. One key area of concern highlighted in the report is the services economy, which remains a sticky part of the inflation picture. The bulk of the contribution to inflation in this sector comes from shelter, reflecting the ongoing strength of the housing market. This is an area that will need to be closely monitored, as any sustained increase in housing costs could have broader implications for the economy as a whole. Overall, while there has been a cooling of inflation, it is important to pay attention to the pace of disinflation and whether good inflation will return, while services inflation remains sticky. These factors will be closely watched by policymakers and economists alike, as they work to manage the economy in the months and years ahead.
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The Fed's Magic Touch: How the 'Fed Put' is Boosting Investor Confidence Lending rates are a critical component of the financial system, as they determine the cost of borrowing money. The interbank lending rate, which is the rate at which banks lend money to each other, is closely monitored by economists and analysts. The Federal Reserve's benchmark rate, also known as the federal funds rate, is the rate at which banks lend to each other overnight to meet reserve requirements. The difference between these two rates is known as the spread, and it can fluctuate based on market conditions. According to recent reports, the spread between interbank lending rates and the Federal Reserve's benchmark rate has widened significantly. This means that banks are charging each other higher rates to borrow money, which could have several implications for the broader economy. For example, it could make it more expensive for businesses and consumers to obtain loans, which could slow down economic growth. Another factor contributing to the current economic climate is the discount window. The discount window is a tool used by the Federal Reserve to provide short-term loans to banks. When banks are unable to obtain funding from other sources, they can borrow from the discount window to meet their liquidity needs. Recently, banks have been borrowing record amounts from the discount window, surpassing the previous all-time high set during the 2008 financial crisis. The surge in borrowing from the discount window suggests that banks are facing significant financial challenges, potentially due to the ongoing pandemic and economic uncertainty. The Federal Reserve's decision to provide more liquidity through the discount window could help alleviate some of these pressures. Finally, the term "Fed Put" refers to the idea that the Federal Reserve will step in to support financial markets when they are under stress. This could involve buying assets or implementing other measures to stabilize the economy. Recently, the Federal Reserve has been increasing the size of its balance sheet, which is a key indicator of its involvement in financial markets. The largest increase in the balance sheet since March 2020 suggests that the Federal Reserve is once again stepping in to provide support, thereby reinforcing the "Fed Put" phenomenon.
US Economic Recovery Stalls as Industrial Production Slows According to the latest economic data, the US industrial production index declined by 0.25% year-over-year in February, marking the first annual decrease in this metric since February 2021. Industrial production, which measures the output of the manufacturing, mining, and utility sectors, is an important indicator of the health of the US economy, as it reflects the overall level of activity in these key industries. The decline in industrial production was driven by a 3.6% decrease in mining output, as well as a 1.2% decline in utility production, partially offset by a 0.3% increase in manufacturing output. Manufacturing production accounts for the majority of the industrial production index, so any changes in this metric can have a significant impact on the overall index. Despite the modest increase in manufacturing output of 0.1% from the previous month, the sector's year-over-year performance was disappointing, with a 1.0% decline compared to the previous year. However, the monthly increase in manufacturing output was better than expected, as economists had predicted a 0.3% drop in output. This positive outcome was partially due to an upward revision of January's manufacturing output, which was initially reported as a 1.0% month-over-month increase but was revised upward to a 1.3% increase. Overall, the latest data suggests that the decline in industrial production, coupled with the lackluster performance of manufacturing output, may be cause for concern among investors and policymakers, who will be closely monitoring these metrics for signs of future economic growth.

$BNX up 20% after launching project Matthew Beta test

Gate.io News: $BNX is up 20% in the last 24 hours from the daily low of $0.57 to the daily high of $0.69 while currently trading at $0.689 as per the Gate.io chart. BinaryX has launched another gaming project called, Project Matthew. Matthew is the planet name of this gaming metaverse. Key activities of the game are Trade & Production, fighting with strong Army and High-tech Laboratory. Beta testing is live for the game.
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$KEY Gains Over 20% Following AI Integration To Proof Of Individuality

Gate.io news: $KEY is currently among the top gainers today following a significant over 20% price increase rising from $0.007 to $0.009 in the last 24 hours, while it's currently trading at $0.008. The price increase comes as @SelfKey confirms how an AI-Powered Proof of Individuality will revolutionize the way we authenticate ourselves in the online world, by eliminating vulnerable methods like passwords and physical IDs.
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Food for thought: When to Be Contrarian Financial markets are often seen as a reflection of reality, but in reality, they can be quite different. The reason for this is that markets tend to project out linear valuations based on recent trends, which means that they can become disconnected from the underlying reality. This is especially true in times of bull or bear markets when the market is either above or below reality. The best time to sell in the market, therefore, is not necessarily when reality is bad but when everyone is doing well in real life. This is because the market has applied an exponential multiple for things to continue, and it is only a matter of time before the market starts to come back down to earth. Similarly, the best time to buy is when we are in a depression, and a linear down projection is multiplied out. In this way, being contrarian can be a wise strategy because the consensus at extremes in financial markets causes the market to be at the furthest place away from reality, which then starts swinging back. However, being contrarian is also wrong because you are sitting at a place that is also far away from reality in the other direction. The market moves in a pendulum, and so you benefit inversely. In other words, you need to be mindful of where the market is relative to the macro environment and what the consensus pricing is, and then decide whether or not to take a contrarian approach. The key takeaway is that learning macro is not just about investing based on the findings themselves, but understanding where financial markets are relative to macro and what is the consensus pricing out linearly in which direction. At the extremes, being contrarian works well, but in the middle, the trend is your friend. In summary, financial markets can often be disconnected from reality due to the linear projections they make based on recent trends. Being contrarian can be a wise strategy when the market is at an extreme, but in the middle, it's best to follow the trend. Understanding macro can help investors make informed decisions about where the market is relative to reality and the consensus pricing out linearly.

Insights from Andre Cronje: A Summary

Andre Cronje, the founder of Fantom, shared key insights in a YouTube podcast about his crypto journey, Fantom, Yearn, DeFi, community advice, and crypto regulation. Here is a summary of what he said.
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Дата 23 травня 2024 року, у шанхайському районі Сюхуй відбулася церемонія централізованого підписання другого пакету великих проектів на 2024 рік. На заході було підписано 23 великих проекти. На зустрічі район Сюхуй представив "Програму пакетних послуг для ключових підприємств PLUS", яка надає більш професійні та ексклюзивні послуги для підприємств з метою підтримки їх розвитку та інноваційного потенціалу, відображаючи високу увагу та інноваційну практику району Сюхуй у покращенні бізнес-середовища.
Breaking Records: The Surging US Petroleum Exports and Inventories The US petroleum industry is a major contributor to the country's economy and has significant impacts on the global energy landscape. In order to understand the current state of the US petroleum market, it's important to look at two key metrics: petroleum inventories and petroleum exports. Petroleum inventories refer to the amount of crude oil and refined products that are stored in tanks and other facilities across the country. These inventories are closely monitored by industry analysts and investors as they provide important insights into supply and demand dynamics, production levels, and market trends. Charts that depict US petroleum inventories in MB [million barrels] are regularly published by industry associations, government agencies, and other sources to help stakeholders keep track of these metrics. In recent years, the US has also emerged as a major exporter of petroleum products, including crude oil and refined products such as gasoline, diesel, and jet fuel. According to the latest data, US total petroleum exports surged to a new record high of approximately 12 million barrels per day (b/d) in the previous week. This was driven by strong demand from overseas markets, as well as the US industry's increasing export capabilities.
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Trading Strategies for 2023: Analytical Skills, Strategic Thinking, and Risk Management

Traders face a challenging environment in 2023, with central banks pausing and the Fed hiking rates to over 5%. A 'soft landing' is possible if inflation stays low and employment strong, but a hard landing could occur if inflation remains elevated and employment deteriorates. Successful trading will require a flexible approach and a deep understanding of market fundamentals.
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The Convergence of Innovative Platforms: Insights from ARK's "Big Ideas 2023" Report

ARK's "Big Ideas 2023" report predicts that tech stocks will account for the majority of the stock market's value, with five major innovative platforms converging to create unprecedented growth. The report highlights the significant role of AI, digital wallets, blockchain, precision medicine, autonomous ride-hailing services, and robotics in transforming various industries, leading to increased efficiency, productivity, and cost savings. However, careful planning and consideration are required t
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China to Set New Growth Target: What It May Mean for Global Markets, Liquidity, and the Crypto Sector China is expected to announce a new growth target during the National People's Congress next week. Recently, China's Purchasing Managers' Index (PMI) showed a strong reading of 52.6, indicating the second consecutive month of economic growth. Additionally, China experienced growth in home sales for the first time in 20 months and export orders for the first time in nearly two years. The data set suggests that China's economy is recovering from the impact of the COVID-19 pandemic, and this could have implications for global financial markets and the flow of liquidity. Firstly, positive economic data from China could boost investor confidence in the country's economic recovery, leading to increased investment flows into China's equity and bond markets. This could potentially drive up asset prices in these markets, which could spill over into other global markets. Secondly, increased economic activity in China could lead to higher demand for commodities, such as iron ore, copper, and oil, which are key inputs in China's manufacturing sector. This could benefit commodity-exporting countries, such as Australia, Brazil, and Saudi Arabia, as well as companies involved in the production and transportation of these commodities. Thirdly, the flow of liquidity could also be affected by the Chinese government's response to the economic recovery. If China maintains an accommodative monetary policy stance, this could provide a supportive backdrop for global liquidity and asset prices. Turning to the crypto sector, per Tradingview data, the current market cap is approximately $1.033T. Yesterday, the market's upward trend hit a roadblock at $1.04T, which corresponded with a surge in trading volume based on the volume profile indicator. Moving forward, if the market closes below the $1.028T benchmark, it is expected to target $1.018T in the short term, indicating further declines or consolidations for many coins. Conversely, if the market manages to close above the $1.037T Fib Extended Golden Zone, yesterday's bullish candle may indicate a turnaround for the entire sector, with more capital flowing into the cryptocurrency market and resulting in a rise in most coins.
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MPC and Blockchain Cryptography: A Deep Dive

Cryptography is the underlying technology that gave rise to blockchain. The Merkle tree and consensus are the two key components of blockchain. The former has been utilized for creating immutable ledgers while the latter ensures agreement and falls under the domain of distributed computing.
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♻️ 如何简单理解以太坊质押机制? 把以太坊看作是一家公司的话,负责Staking的验证者(Validator)就是员工。它的工作就是验证交易的合法性,然后打包区块上链(虽然构建区块这活儿,如今也已经慢慢外包给MEV服务商了)。 首先,作为验证者,你需要证明你的员工身份。毕竟不是谁都可以来随便验证,交了32枚ETH押金后,你需要持证上岗(即:【验证 key】)。理论上,做Staking的第一步就是创建一个验证key。随后,你拿着你的验证key,也就是你的工作证,才能给每一个交易盖戳。 第二,以太坊贴心地设计出了第二把私钥,用于接收刚刚提到的押金(32 ETH)。当你去做验证者时,你会要填一个“提现地址”。它是未来你提取本金和工资的地址,而那个地址的私钥理论上应当在你的手里(即:提现 key】)。打个比方,这是你的工资卡。 然后根据2把私钥【①验证key(工作证)、②提现key(工资卡)】的不同归属,诞生了四种Staking解决方案: -CEX类 -大池子类(Pooled Staking) -SaaS类(Staking as a Service) -Solo类

ORCA доларів зросла на 50% після того, як було прийнято пропозицію про перехід казначейських облігацій до DAO

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PANews 3月19日消息,据官方推特,General Bytes加密货币ATM服务在3月17和18号遭到攻击,攻击者利用系统里的上传接口上传并运行了恶意的Java程序,然后攻击者获得了服务器里数据库的权限和热钱包提币API Key。据慢雾MistTrack统计,损失大约180万美元。目前官方已发布事件公告和修复方案。据此前消息,General Bytes在2022年8月也遇到了安全事件,但官方没有披露是否有加密货币被盗。
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金色财经报道,据General Bytes官方推特消息,General Bytes 加密货币 ATM 服务在3月17、18号受到攻击,攻击者利用系统里的上传接口上传并运行了恶意的Java程序,然后攻击者获得了服务器里数据库的权限和热钱包提币API Key。 根据慢雾MistTrack统计,损失大约180万美金。目前官方已发布事件公告和修复方案,相关用户如有运营此类服务可以立即联系官方。此前消息,General Bytes在2022年8月也遇到了安全事件,但官方没有披露是否有加密货币被盗。
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$TROY rises 8% as Troy War presents Mystery Boxes

Gate.io News: $TROY, the native token of the Troy service, has seen an 8% price increase in the past 24 hours, and currently trading at $0.003389, with inflow of $69.90k, according to the Gate.io trading chart. This comes as Troy War presents mysterious boxes, used by gamers to both defend towers at certain drop rates, and as commander skills which is the key support for game winning. The box openings are all on the chain to ensure fairness and transparency.
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Food for thought: Global Food Prices Decline Global food prices have decreased for the eleventh consecutive month, while inflation has increased in the US and Europe, according to the United Nations' Food and Agriculture Organization's Food Price Index. This decline is due to falling cooking oils and dairy product prices, while grain and meat prices remain stable and sugar prices rise. Despite the current prices being higher than pre-Covid levels, they have dropped by 18% from their peak. However, supermarket prices may still be high due to elevated transportation, energy, and labor costs. There are signs that prices could soon decline as demand for beef, pork, and chicken decreases. The decline in global food prices could have several potential implications for global financial markets. Firstly, it could have a positive impact on inflation, which has been a key concern for central banks around the world. Lower food prices could help ease price pressures and lower inflation, which could ultimately lead to a less hawkish monetary policy stance from central banks. This could impact interest rates, bond markets, and currency exchange rates. Secondly, the decline in food prices could affect commodity markets, particularly for agricultural commodities such as wheat, corn, and soybeans. Lower food prices could lead to lower demand for these commodities, resulting in a decrease in their prices. This could impact the profits of companies that produce these commodities and the economies of countries that rely heavily on agricultural exports. Thirdly, the decline in food prices could have an impact on consumer spending and confidence. Lower food prices could lead to increased disposable income for consumers, which could result in increased spending in other areas. This could be positive for companies in sectors such as retail, hospitality, and leisure. However, it could also lead to a decrease in consumer confidence if consumers perceive lower food prices as a sign of economic weakness. Overall, the decline in global food prices could have both positive and negative implications for global financial markets, depending on how investors and policymakers interpret it. It is too early to predict the exact impact, but financial analysts and investors are likely to closely monitor this trend in the coming months. For your information, here’s an overview of commodity price changes over the last year: Sugar: +11% US CPI: +6.4% Gold: -4% Soybeans: -9% Corn: -14% Copper: -15% Silver: -16% Gasoline: -16% Heating Oil: -17% Coffee: -20% Brent Crude: -22% Zinc: -22% WTI Crude: -26% Cotton: -30% Natural Gas: -36% Wheat: -37% Lumber: -65%