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2023年,SEC 多次推迟比特币 ETF 的批准。
但 ETF 发行方并没有放弃,而是不断调整方案、完善细节,最终在 2024 年获得批准,并成为新一轮牛市启动的重要催化剂。
如今,2026 年,《Clarity Act》再次面临一轮又一轮的延期。
历史往往不会简单重复,但相似的节奏值得关注。
短期的阻碍,并不代表长期方向改变。
真正的机会,往往属于那些在不确定中保持耐心、提前布局的人。
未来会发生什么,时间会给出答案。
#Bitcoin #BTC #Crypto 2026年8月上旬币圈行情深度分析(多空双爆、山寨收割潮)
一、大盘核心逻辑:机构托底,但散户情绪全面崩塌
1. 比特币盘面拆解
BTC长期有美股现货ETF资金持续流入托底,单周净流入7亿+美金,决定了整体盘面不存在持续崩盘大跌的基础,下方关键支撑带承接力度充足。
但上方抛压沉重,每次小幅拉升都会迎来大额获利盘砸盘,资金不愿主动拉涨,主力选择窄幅箱体震荡洗盘,用长时间横盘消耗散户耐心。
这种行情下单边趋势很难走出,多空任意重仓都容易被插针来回收割,也是近期合约爆仓量持续走高的核心原因。
2. 以太坊基本面与行情脱节
以太坊生态持续落地技术升级、机构持续囤币,长线价值逻辑没有破坏。
短期盘面完全跟随BTC联动,独立行情缺失,叠加链上转账活跃度下滑、市场投机资金流向小山寨,导致ETH波动持续收窄,短线盈利空间极小。
二、主流币分化根源:监管预期决定强弱
- XRP、ADA:受海外加密监管法案延期落地利空压制,资金避险出逃,走出持续阴跌,是当前大盘弱势币种;
- SOL、DOGE:依托热点叙事小幅抗跌,短线有游资阶段性炒作,但无长线资金入驻,反弹持续性很差;
整体主流币种没有统一上涨逻辑,板块轮动极快,很难出现普涨行情。
三、山寨币市场两极分化:短线陷阱最多
1. 少数热点MEME、新土狗币种单日暴涨30%以上,制造暴富假象,吸引散户追高入场;
2. 绝大多数老山寨(如BICO这类小流动性币种)阴跌不止,流动性枯竭,反弹无力,高低点不断下移。
关键风险点:
小币种深度不足,一旦反向波动,10倍、20倍高杠杆合约极易瞬间爆仓。就像近期大量玩家做BICO多单,行情冲高回落持续阴跌,持仓浮亏后心存侥幸不追加保证金、不带止损,最终100%亏损强平。
震荡阴跌行情里,主观预判反弹、死扛多单是散户亏损第一大诱因。
四、合约市场现状:多空双向批量爆仓
近期盘面反复插针,上下刺破支撑压力位:
1. 看多散户:提前埋伏多单,行情小幅冲高后持续回落,浮亏后拒绝止损、不补保证金,最终爆仓;
2. 看空散户:提前做空博弈暴跌,大盘被机构资金托底不深跌,反弹拉升直接打爆空单;
市场处于震荡区间,不存在稳定单边,高杠杆扛单等于主动暴露全部本金风险。
五、影响后市的两大核心变量
1. 监管政策
海外加密相关法案推迟表决,市场不确定性加剧,机构资金保持保守,短期很难走出趋势性牛市;若后续监管释放宽松信号,大盘才具备拉升基础;反之会持续压制行情。
2. 美股资金流向
ETF资金流入是当前大盘唯一支撑,一旦资金持续流出,BTC下方支撑会直接失效,将开启深度回调行情。
六、实操层面客观分析与操作思路
现货玩家
1. 极度恐慌指数区间,不建议低位恐慌割肉,底部区域卖出极易踏空后续反弹;
2. 杜绝追高短线妖币,热点炒作周期极短,追高基本高位接盘;
3. 仓位控制在3成以内,等待大盘放量突破箱体后再加仓。
合约玩家
1. 震荡行情严禁重仓、满仓博弈单边,杠杆建议压缩至5倍以内,放弃10倍及以上高杠杆;
2. 必须设置止损,浮亏扩大第一时间减仓或追加保证金,不要死扛仓位;
3. 不主观预判涨跌,等行情走出明确趋势再顺势交易,震荡阶段尽量减少开仓频率。
总结
当前币圈属于机构底部吸筹、散户情绪恐慌、无单边趋势的磨底阶段。
短期不存在大牛市暴涨行情,也无系统性崩盘风险,市场最大风险并非行情大跌,而是频繁短线交易、高杠杆扛单、盲目跟风山寨币,绝大多数亏损都来源于自身操作陋习,而非行情走势。 $BICO 8/08 友情温馨提醒我的【空军】兄弟们:尤其是目前只是【想空】,【准备空】的,还没开仓的话:劳烦请先看下自己的家底,预想下狗庄可能拉到哪个程度(做很坏很夸张的心理预期准备,已经5天有4天涨幅超45% 甚至 60%了,大家心里一定有要点数,如日涨幅再次达到45% ,60%,甚至更多)保证金如果撑不到0.092的兄弟先别着急空,当然你可以直接挂个0.0764或0.0843的试一下,切记只能轻仓蚂蚁仓尽量只投入1u,低杠杆 2倍 3倍 5倍的玩啊,当是参与一下小娱乐,亏就损失1u。(如果最后因为挂高了,导致挂不到,那也挺好,踏空0损失,本金一分不会少)计算自己入场(首仓)的第一笔投入比例,首仓入场点位,杠杆倍数,都务必算好,关键是如果想开空则必胜的话,绝不能低估狗庄,你的止损点强平点需要很高才行。所以:如果你家里没矿,不是无限资金的话,请尽量:轻仓,低杠杆。我自己铁杆空军,非常不想不愿到时候在欧易的星球动态里看到一堆【伪空军】居然是以失败者,可怜人,以悲剧主角形象出场,那就是丢人,砸【神圣空军】的招牌了,这一类的人,请以后自觉主动退出空军队伍,别拖团队的后腿,给我们脸上抹黑。再给新人小白普及一个小知识点,举例,一帮子(非团队,非统一行动,各自为战)去空,只是举例说明:如当价格先在0.048 0.049 0.05上下震荡拉扯时,我们的对手盘【多军弟兄们】其中除了爱冒险的纯赌徒,一般也很少真敢在如此高点再大资金去重仓高杠杆继续冲入追高赌涨,他们就的真的一点不怕不担心随时瀑布???这几天大家都能看到有至少四五个强势山寨币楼起又楼塌,崩时那叫一个快,那叫一个猛。这里不一一点名指出,我本人是空了三个还是四个,全胜,当然也几度惊险,特刺激。本人一直是【实盘】,都是可见可查的,不是光嘴吹或是发一张二张【难辨真伪】的截图。对手盘多军毫不足惧,能搞死我的空山的只有两种【混进空军队伍中的疯子和傻子】,因为他们的止损要么过于保守胆小自设的就低(他本意是想以小博大)或强平点很低的(重仓满仓高杠杆,10倍涨不到10%强平,20倍涨不到5%就强平),无论求稳的主动止损或是赌徒自拉爆强平:产生的作用和效果都是巨大和迅猛的,我二天内在两个币种上亲身体验二回,仅十几秒,涨幅超20% 25%,什么概念呢?如果起飞点再前半程中间是一些人挂的【逐仓空单】,呵呵,激活成交之时就是爆仓强平之时,哪怕你只开5倍杠杆,小仓10u 中仓100u 重仓1000u,都是秒死。因为【预挂的逐仓】十秒你完全没时间加保证金的机会,仓位瞬间1秒等量变作了【买盘多单】,形成助推燃料,前一步飞升,每一单爆的空单全变买盘多单,网络跟得上不迟仅话,其实应该每都一步仅需1秒不到,止损强平点在0.05的一批如果损了爆了有100万,就是在0.05瞬间砸下100万的买单,价格能在1秒飞到0.052,又把是0.052止损强平点的那一批空军再干掉,这一批人也许是200万,好,瞬间半秒又是等于砸下200万的买盘,所以……作懂的,1秒之后,价格飞到0.054,于是又把止损强平点是0.054的那一批人又干掉了,价格来到了0.056 0.057 ……唉……所以,傻瓜,疯子,请别来当【空军】了,你这些人不是来增加我们队伍的力量,纯粹就是来坑害我们的。我说的意思也是一个小普及,很多所谓极限极端插针并不是狗庄干的,也不是对手盘那帮人干的,多军也不是钱多人傻,除了开涨之前或初期拿到了低价成本的,才能才敢一直长拿,想以小搏大赌一把,正常有脑子的并不会高位去追涨。已经涨很多很高的情况下,后面居然会发生涨更迅猛更大幅度的原因不靠多军,是【空军】中的猪队友,他自己损了爆了再坑一把所有空军队友,……(字多并无奖励,反而容易被至少95%的人瞅一眼:嗯,啥玩艺,写作文啊,太长不看,转身走了)……
上述内容基本复制的自己上一个帖子。数据修改了一下,一般很高之后,若再次急速火箭上升基本就是这个原因了。
我估计也快要被猪队友害死了,我补仓加仓间隔太近,次数太频繁了,仓位越加越重,已经危险了。如果挂了,用最后的钱给之前定好的8个兄弟发每人发2u,一杯奶茶表心意。即使这个帐户强平归0,我c2c充钱也不会赖掉红包的。必须言而有信!
如果最后没死,能逆转,小盈结束,为了庆祝死里逃生,我也会把红包发了。(之前帖子说的是:空它对的,我空单盈利了,说明我赌赢了,我是正确的。那反而不发的) #交易之声:你的经验值得被听到 #新手必看:这里有你需要的一切 Tonight, one number could decide the fate of every market.
In a few hours, the non-farm payroll report will answer the question traders have been arguing about for weeks: Is the U.S. economy finally slowing down, or is inflation about to make a comeback?
The warning signs are mixed.
ADP employment shocked the market with just 44,000 new jobs, the weakest reading of the year, pushing expectations for tonight's payrolls down to around 70,000–80,000. But at the same time, initial jobless claims have stayed below 200,000 for three straight weeks. Hiring is cooling, yet companies still aren't firing workers.
That's why tonight's number matters so much.
A weak report could crush expectations of further rate hikes, weaken the dollar, and send gold and Bitcoin even higher.
A strong report could reignite inflation fears and put immediate pressure on risk assets.
And the market is already placing its bets.
Gold ($XAU) has reclaimed the 4,300 level and refuses to pull back despite looking technically overbought. The message is clear: traders are positioning for weaker employment data and easier monetary policy.
Bitcoin ($BTC) remains stuck near 65,000. ETF inflows continue, but Coinbase premiums have been negative for 80 consecutive days. U.S. institutions are selling while Asian buyers absorb the supply. Gold has already chosen a direction—Bitcoin is still waiting for its signal.
SanDisk ($SNDK) is another story. Despite beating earnings expectations and announcing a massive $14 billion buyback, the stock still sold off sharply. Expectations were simply too high. Weak payroll data could trigger a relief rally, while strong data may keep growth stocks under pressure.
Then there's SpaceX. More than 900 million shares became eligible for sale on lockup expiration, and the market expected chaos. Instead, the stock climbed 6%. Institutions stepped in when everyone expected a collapse. Sentiment may have found a floor, but resistance near 120 remains a major test.
Tonight, four markets are watching the same number:
• Gold
• Bitcoin
• SanDisk
• SpaceX
#DailyOrbit Tonight, one number could change everything.
In just a few hours, a single economic report could decide whether markets rally into the weekend or slam on the brakes.
For weeks, investors have been asking the same question: Is the U.S. economy finally slowing enough to force the Federal Reserve to cut rates? Tonight's Non-Farm Payrolls report may finally give us the answer.
The weak ADP jobs report already dragged expectations down to just 70K–80K new jobs, the lowest forecast of the year. But there's a catch: initial jobless claims have stayed below 200K for three straight weeks.
Hiring is cooling, but companies still aren't rushing to fire workers.
That's why tonight's number matters so much.
A weaker-than-expected report would strengthen the case for rate cuts, likely pushing the dollar lower while giving gold and Bitcoin fresh momentum. A stronger report, on the other hand, could reignite inflation fears, send Treasury yields higher, and put pressure on risk assets.
And the market is already making its bets.
Gold ($XAU) has climbed back above 4,300, suggesting traders are positioning for softer economic data. Even after a strong run, buyers aren't backing down.
Bitcoin ($BTC) is hovering around 65,000. ETF inflows remain solid, but institutional selling in the U.S. and buying from Asia continue to balance each other out. Gold has already chosen a direction—Bitcoin is still waiting for its trigger.
SanDisk ($SNDK) beat earnings and announced a massive $14 billion buyback, yet the stock still fell. Expectations were simply too high. A weak payroll report could spark a relief rally, while a strong number may keep pressure on growth stocks.
Meanwhile, SpaceX surprised investors by rallying despite its lock-up expiration and the threat of heavy selling. That move suggests institutional demand is stronger than many expected, although resistance near 120 still stands in the way.
Tonight isn't just another economic release.
It's a reality check for the Fed, for Wall Street, and for every major asset class.
Gold. Bitcoin. Stocks.
#DailyOrbit "Tonight's jobs report could decide whether crypto gets fuel for another rally—or faces a wave of selling."
The U.S. Nonfarm Payrolls (NFP) data drops tonight.
Market expectations: • Expected jobs added: 83,000 • Previous reading: 57,000 • Unemployment rate: 4.2%
Why does it matter?
The labor market is one of the biggest factors driving interest-rate decisions.
A strong jobs market means the Federal Reserve has less reason to cut rates, which usually strengthens the dollar and puts pressure on risk assets like tech stocks, $BTC, and $ETH.
A weaker labor market increases hopes for rate cuts, which tends to support stocks, gold, and crypto.
Three scenarios to watch:
📌 60,000–100,000 jobs (most likely)
A result near expectations would probably keep volatility under control, with markets staying range-bound.
📌 Above 130,000 jobs (very strong)
Fewer rate-cut expectations, a stronger dollar, and potential pressure on tech stocks and crypto.
📌 Below 40,000 jobs (very weak)
Rate-cut hopes could boost stocks, gold, and crypto. However, if unemployment jumps sharply, recession fears could take over and send markets lower.
For $BTC and $ETH traders, tonight isn't just another economic report—it's a test of whether liquidity is about to increase or disappear.
#DailyOrbit 2014年初的$DOGE 社区干过一件现在想起来都觉得魔幻的事:一帮素不相识的网友,三天众筹了三万美元,把差点去不成索契冬奥会的牙买加雪橇队送上了赛道。
没过几个月,又凑了六万多美金赞助NASCAR赛车手Josh Wise,让一辆印着狗头的赛车在赛道上跑。还有给肯尼亚打井的"Doge4Water"。那时候的DOGE不是个投资标的,是个互联网行为艺术,大家比谁更会玩、谁更有爱。
现在呢?打开社区,满屏都是"什么时候上1刀""马斯克发推了没""ETF批不批"。慈善帖偶尔有,水花约等于零。这不是人心变坏了,是持有结构变了。早期的持币者很多是打赏文化里泡大的Reddit网友,手里那点币值不了几个钱,花出去不心疼。2021年暴涨之后,DOGE变成了散户的仓位,每一枚币背后都是一个等着回本或者翻倍的人。一个人盯着K线的时候,是没有闲心赞助雪橇队的。
善意叙事的消退,对DOGE的伤害其实比很多人想象的大。DOGE没有智能合约,没有生态,没有现金流,它唯一的护城河就是社区文化和共识,而慈善恰恰是那套文化里最亮眼的招牌,是它区别于其他空气币的"好人证"。丢了这块招牌,DOGE就退化成一个纯粹的投机筹码,和后来那几万个Meme币抢同一条赛道,拼的还是它最吃亏的东西:新鲜感和暴富故事。
更要命的是叙事断层。新Meme币的社区靠拉盘团结,$DOGE 当年靠"做好事还能赚钱"的双重满足凝聚人心,这种凝聚力在熊市里是粘住的,不靠价格。现在价格一跌社区就散架,恰恰说明精神内核已经空心化。
当然也不用太悲观。雪橇队的传说还在,狗头Logo还是那个狗头,社区底子比任何新Meme都厚。如果哪天有人重新捡起"用$DOGE 做点好事"的老传统,借着现在的市值体量,能撬动的善意规模是2014年的几十倍。关键看有没有人愿意干这种"不拉盘的事"。投机可以复制,善意叙事不行,这才是DOGE真正丢不起的东西。$OKB 现货价格推升至89.64美元附近,全天换手率维持在10%以上,筹码在巨鲸吸筹与获利回吐间快速置换。Exchange OS 部署带来的强制质押,叠加2100万枚的总量硬封顶,让二级市场的卖盘流动性被持续收紧。若 xStocks 等链上应用活跃度接棒,供给刚性将进一步推高现货溢价。后续重点观察 X Layer 每日 Gas 消耗与质押总量的增速是否放缓。
#伊朗阿曼通航协议遇阻,油价风险再升温 #存储股财报后下挫,AI内存牛市还稳吗? #闪迪财报双超预期,新增140亿美元回购授权🔥🔥🔥兄弟们,给你们来一盆冷水,说句不好听的:非农-2.3万,BTC只涨了1%,你还看多?
昨晚非农出来-2.3万,群里至少八个人同时发了"起飞"。
我没说话。
因为我看到BTC从64500拉到65400,40分钟就回到了64900。1%的涨幅,在"史诗级鸽派"数据面前。
你知道同一时间黄金涨了多少吗?3%。白银5%。连纳指都涨了1.2%。一个号称"数字黄金"的东西,在真正的黄金面前,像个弟弟。
我不是唱空。我只是觉得,当一个利好出来,价格却拉不起来的时候,你该想的不是"什么时候突破",而是"谁在趁利好出货"。
ETF这周流入7.5亿,BTC一周没怎么动。钱进去了,价没动。你告诉我,这叫蓄力,还是叫有人借着流入悄悄跑?
我吃过太多次这种亏了。去年3月非农也爆冷,我也追了,赚了2%没跑,第二天全吐回去还倒亏8%。那天晚上我盯着屏幕想明白一件事:利好不涨,比利空更可怕。因为利空你会跑,利好不涨你会死扛——死扛才是真的要命。
周末了,流动性会更差。64500压了三周没过去,周末突然插针到63000以下,我一点都不会意外。
不追,不扛,不盯盘。周末该干嘛干嘛,周一看CPI预期再聊。
"最贵的学费,是你在该等的时候选择了动。"
说实话,你是那种数据一出就忍不住想追的人吗?我以前是。改了好久才改掉。$BTC $ETH 俄罗斯9月正式给Crypto立规矩了。
**这不是“俄罗斯全面拥抱加密”,而是承认你可以投资,但不让Crypto取代卢布。**
9月1日起:
普通投资者通过测试后,
可以通过合规中介买加密资产。
但每个中介每年最多30万卢布。
合格投资者通过测试后,
交易金额不设上限。
同时还有一条很关键:
加密货币依然不能直接拿来买商品、付服务费。
所以俄罗斯这套逻辑其实非常清楚:
✅ 可以持有
✅ 可以交易
✅ 可以纳入金融体系
❌ 不能挑战本国货币的支付地位
这才是真正值得看的地方。
以前各国讨论Crypto时,经常只有两个极端:
禁止。
或者放开。
现在越来越多国家选择第三条路:
**把Crypto合法化,但把入口、交易和支付边界全部管起来。**
长期看,这其实未必是坏事。
因为真正的大机构想进入,
最怕的不是监管严格,
而是根本不知道规则是什么。
下一阶段Crypto全球竞争,
可能不是“谁监管最松”。
而是:
**谁能在不失控的情况下,把Crypto纳入传统金融体系。**
俄罗斯这一步,就是一个很典型的样本。
#俄罗斯加密监管法9月生效,交易与支付边界明确 $BTC average buy price has dropped to $52,025.
The pink line has been retested and price has gone below it in every bear market, so far.
Is this time different?#AIMemoryBullTest #FedHawksVsWeakJobs #SpaceXUnlockRebound The US non-farm payroll data was released, showing a rather dovish performance, to the extent that the market faces a risk of recession.
Short-term market impact: slightly positive for $BTC, $XAU gold, and growth stocks; slightly negative for the US dollar and US Treasury yields.
The reason is simple: this data basically undermines the logic that "US employment is still strong," especially with wage growth cooling down. The market doesn't need to worry about Fed rate hikes in the short term.
DYOR!
#联储鹰派信号升温,弱就业能否压过通胀? #AIMemoryBullTest #FedHawksVsWeakJobs #SpaceXUnlockRebound 今晚美股是在交易降息预期还是就业衰退? 对于美股来说很好区分,不是看指数涨跌,而是看资金轮动到什么板块 还是那句话,宏观决定了你手里的钱贵不贵,所以交易降息,那么预期钱便宜了就敢买高风险高收益资产,自然AI 科技股收益上涨。 如果交易就业衰退,处于经济风险临界点,那么资金就会流向蓝筹股,老登股,而科技股与AI股则就会受挫 所以,如果你只看指数,其实无法区分目前市场到底在交易什么,但是如果看具体板块表现,则很容易看懂市场的情绪,当然对于我来说,其实有一个关键指标可以清晰看出 SPHB/SPHQ 这是Trdingviwe上的一个指标,指标上涨,意味着资金向高风险高收益资产交易,风险偏好增加,反之指数向下走,则意味着风险收缩,进入防守阶段,有兴趣的小伙伴可以直接在Trdingviwe输入SPHB/SPHQ 然后回车就可以查看 说回市场,虽然目前市场在交易降息,但是也只是在交易预期,能否真正走向降息预期的回归还是不能100%确定#联储鹰派信号升温,弱就业能否压过通胀? 今晚的非农数据公布后,最敏感的债市收益率率先下跌,随后是美元走弱,黄金走强,但是随着数据公布之后的现在,1年10年30年债市闪迪Q4交出营收89.7亿美元、同比暴增372%的成绩单,调整后每股收益39.25美元,直接干到去年同期135倍,毛利率高达84.6%。西部数据同样不弱,营收37.5亿美元增长44%,净利润暴增12倍。结果盘后闪迪跌7%,西部数据跌11%,第二天盘前两兄弟接着崩,跌8%和15%。亚太市场毫无悬念跟着遭殃,韩国综合指数单日跌超5%。 问题全出在指引上。闪迪下季营收指引中值105.5亿美元,市场押注108亿到111.6亿,就这不到6亿的差距,股价崩了9%。西部数据更气人,中值41亿还高于分析师预期的40.6亿,盘后依然暴跌15%。某机构一针见血,存储行业核心矛盾不是基本面变脸,是预期已经跑得太远,现在必须次次完美、回回超预期,连指引都要大幅上修。 闪迪年内涨了460%多,西部数据涨了200%,AI存储供不应求、涨价、业绩爆发这些利好早被市场全部price in。英伟达还在评估下调Rubin Ultra的HBM配置,打算从12hi换到8hi,DRAM供需紧张延续到2027年,这事对存储是双刃剑,涨价逻辑还稳,但AI芯片出货被HBM卡脖子的话,高端需求预期就要重新定价。 #联储鹰派信号升温,弱没有老仓垫底,这个巨鲸直接用三成本金砸出841万INTC空单
一个在Hyperliquid三榜留名的巨鲸,刚才6分钟内用955笔单子吞掉了几百个价位的INTC卖单,均价101.62,一口气建起841万美金的空头。
这个地址0x4e23…20c3,历史盈利1813万,账户权益2611万,胜率62.3%,日内短线,风格偏空。但像今天这样不挂止损、不开对冲,直接裸空的比重,在他日常交易里不算常见。
目前账户里没有任何同向仓位作缓冲,这笔指令几乎动用了三分之一的权益。
如果后面几个小时内价格没有顺畅下行,以他日内短线的纪律,可能会出现快速减仓的动作;如果继续加码,那意味着他对INTC的看空逻辑比预期更坚决。
公开数据观察,不做任何操作暗示。
如果喜欢我的分享,麻烦点个关注Tonight's Nonfarm Payroll Data Analysis
CME FedWatch shows a 56.7% probability of a 25 basis point rate hike in September.
Economists surveyed by Dow Jones expect 83,000 new nonfarm jobs in July, with an unemployment rate of 4.2%.
But two days ago, ADP data shocked the market — only 44,000 new private sector jobs were added in July, below the expected 75,000, marking the lowest this year.
Employment is slowing down.
CME FedWatch shows a 56.7% probability of a 25 basis point rate hike in September.
ADP 44,000, the lowest this year. June nonfarm payrolls were only 57,000, and April-May combined were revised down by 74,000. Hiring momentum is visibly slowing.
As of the week ending August 1, initial jobless claims were 199,000, below 200,000 for the third consecutive week. Companies are not laying off employees.
In Q2, nonfarm labor productivity grew 1.4%, and unit labor costs rose 1.3% — wages are still increasing, and cost pressures are still being transmitted.
On one hand, fewer people are being hired; on the other, no one is being laid off.
June CPI year-over-year was 3.5%, down from 4.2%, but still far from the 2% target.
Fed Governor Cook said last Wednesday: "Inflation is too high. Inflation risk outweighs employment risk. If necessary, I am ready to raise rates."
Minneapolis Fed President Kashkari — one of the three dissenting votes at the July FOMC — also publicly said: "It's time to start raising rates now."
The hawkish voices are getting louder.
On July 29, the FOMC maintained rates unchanged with a 9-3 vote.
All three dissenting votes advocated a 25 basis point rate hike.
This is the first time since 2016 that the Fed has had three dissenting votes aligned in the same direction in a single decision.
"Fed mouthpiece" Nick Timiraos bluntly stated: This division highlights the growing pressure within the Fed — demanding action on inflation that has been above target for five consecutive years.
The Fed neither cuts nor hikes rates, verbally shouting "zero tolerance for inflation,"
.
#AIMemoryBullTest #FedHawksVsWeakJobs #SpaceXUnlockRebound 连续几天持续攀升,今天早上黄金直接干到4300了,白银也冲破了62美元,COMEX黄金期货更猛,最高摸到4267美元。日内涨了3%多。
就因为一个数据,ADP就业报告,7月美国私营部门只新增了4.4万个岗位,市场预期是6.5万到7.5万。预期差了一大截,直接炸了。就业弱成这样,加息预期降温,美元跌了,美债收益率跌了,黄金白银一起飞。
但是BTC还在6.4万附近晃,涨了不到1%,跟没动一样。
我就想问一句,不是说BTC是数字黄金吗?黄金涨3%,你涨不到1%,这算哪门子数字黄金?
去年上半年BTC和黄金还有明显的正相关,到今年已经变成负相关了。黄金今年涨了9%,BTC跌了11%。德意志银行的分析师直接说BTC“不再是数字黄金”了。彼得·希夫更直接,说BTC和黄金的相关性从来就没真实存在过。
话虽然难听,但数据摆在这。
那BTC到底在跟什么走?跟美股?标普和纳指都在涨,BTC没跟。跟ETF资金?周二净流入了2.115亿美元,价格还是没动。跟地缘缓和?美伊谈判有进展了,也没刺激起来。
BTC现在的状态就是,跌不下去也涨不上去,在6.4万这个位置横着,等一个真正的催化剂。这个催化剂可能是降息落地、可能是监管消息、也可能是某个大机构的动作。但至少不是黄金的涨。
我自己的看法是,“数字黄金”这个故事在2026年越来越讲不通了。不是说BTC不好,是说它的定价逻辑跟黄金已经完全不一样了。黄金在交易利率预期和避险,BTC在交易别的东西——可能是流动性、可能是监管、可能是它自己的周期。
所以下次再有人跟你说BTC是数字黄金,你可以把昨天的K线甩他脸上。
黄金涨3%的时候,BTC在6.4万睡觉。这就是答案。
$BTC $SNDK $XAU #黄金重返4200美元,BTC为何没跟涨? 兄弟们,今晚美股最核心的逻辑就一句话: 美国就业数据烂到超预期,市场反而先涨了。 📈 8月7日美股开盘: 🔥 纳斯达克综合指数 $QQQ +0.71% 📈 标普500$XSPY +0.33% 📉 道指 -0.07% 也就是说,资金第一反应非常明确: 就业越弱,美联储9月继续加息的可能性越低,科技股就越舒服。 � Reuters ━━━━━━━━━━━━ 📒第一,今晚这份非农,是真的“爆冷” 市场原本预期美国7月新增非农就业大约 8万人。 结果实际数据出来: 💥 非农就业直接减少2.3万人 更狠的是,前两个月的数据还被合计下修了 10.3万人。 这意味着美国就业市场不是单纯“降温”,而是明显出现了比市场预期更快的走弱。� Reuters +1 但有意思的是: 失业率反而从 4.2%降到4.1%。 为什么? 并不是就业突然变好了,而是有大约 26.4万人退出劳动力市场,劳动参与率降到了 61.4%,创约五年半新低。� Reuters 所以今晚的数据不能简单理解成: “失业率下降,美国经济很好。” 恰恰相反。 真正值得关注的是: 新增就业已经开始掉到负数了。 ━━━━━━━━━Nonfarm payrolls fell far short of expectations, let's look at the market's reaction:
1. The US dollar index plunged briefly (Chart 2);
2. The USD/JPY exchange rate plunged briefly (Chart 3);
3. Gold surged briefly (Chart 4).
4. Bitcoin didn't react much, don't watch Bitcoin, it's tired, hahaha
Recently, the market has been trading on interest rate hikes, but now with this nonfarm payroll data, the market's interest rate hike trading is cooling down. Now it depends on whether there's concern about starting to trade a recession. If it's right between the two, that's the best for the market.
Currently, before the US stock market opens, gold is rising, and the US stock indices are also rising. So far, the outlook seems relatively optimistic.#AIMemoryBullTest #FedHawksVsWeakJobs #SpaceXUnlockRebound #联储鹰派信号升温,弱就业能否压过通胀?
别被非农数据表面的就业失速骗了,只要沃什不认可这份数据,市场想靠它直接回归降息交易就是痴人说梦。
这次数据只压制了加息预期,不可能100%带来降息。最大的变量是沃什。他之前不信7月通胀数据,现在大概率也会找借口弱化就业风险,比如甩锅给世界杯招聘潮或AI冲击,借此打压降息期待。
沃什其实有政治目的。他想颠覆依赖传统数据的规则,建立自己的工作组数据。他未来肯定会降息,但前提必须基于他的新指标。他就是想让市场以后预期利率时,只看他的新数据行事。
所以现在押注降息风险极大。今天数据带来的反弹,反而是逢高做空的好机会。政策落地前变数太多,做空回调才是稳妥操作。🚨 THE U.S. JUST LOST JOBS… AND MARKETS WEREN’T READY FOR IT.
The latest NFP report came in at -23K vs. +85K expected.
That’s a massive miss — instead of adding jobs, the U.S. economy actually lost 23,000 jobs.
Here’s how I’m reading it 👇
📉 USD: Bearish
🟡 Gold: Bullish
🚀 BTC & Crypto: Potentially bullish
A weaker labor market could increase expectations for easier Fed policy and future rate cuts — generally a positive setup for risk assets.
But there’s a catch. ⚠️
A number this weak also raises the risk of a sharper economic slowdown. If markets start pricing in recession instead of rate cuts, volatility could get ugly.
So I’m not chasing the first move.
I want to see $BTC confirm the direction before making any decisions.
The market will react fast.
I’d rather react to confirmation than become exit liquidity.
Stay patient.
Let the market reveal its hand. 👀
$BTC $ETH
#DailyOrbit #AIMemoryBullTest #FedHawksVsWeakJobs #SpaceXUnlockRebound After SpaceX's $100 billion lock-up expiration, the stock rose 12% instead of falling. So where did the expected selling pressure go?
The market was waiting for employees to dump shares, but SpaceX didn't sell off; instead, it squeezed the shorts.
This time, about 912 million shares became eligible for sale, while the circulating shares before the lock-up were only about 639 million, corresponding to a potential selling pressure exceeding $100 billion.
But the lock-up expiration means "can sell," not "must sell."
SpaceX had already fallen from a high of $225 to around $108, even dropping below the $135 issue price. At this level, employees and early shareholders willing to clear out might be fewer than expected.
The financial report isn't bad either: quarterly revenue of $7.814 billion, a 92% year-over-year increase, and losses narrowed to $541 million.
More importantly, shorts had already positioned themselves ahead of the lock-up expiration. Actual selling was less than expected, forcing shorts to cover, which pushed the stock price up.
The selling pressure hasn't disappeared; it just hasn't appeared yet. Next, watch the $135 level—if it holds, it means the market has truly absorbed it; if it can't break through, this batch of selling pressure might just be delayed by a few days.
$XSPCX $SPCX #AIMemoryBullTest #FedHawksVsWeakJobs #SpaceXUnlockRebound 🔥 SOL 今日行情:价格在 $74 附近“死扛”,链上却在疯狂刷纪录!
截至2026年8月8日左右,Solana (SOL) 现价约 $73.8 – $74.0,24小时小幅上涨0.5%–1.2%,成交量约15–16亿美元,市值约430亿美元,稳居加密货币第7位。流通供应量约5.82亿枚。7bb022
Coinmarketcap
从高点回看:距离2025年1月的历史高点约$294,已经回撤了约75%。短期价格在$70–$75区间震荡,7日表现大致持平或小幅波动,月线仍偏弱。
核心看点:价格趴着,基本面却在“狂奔”
链上数据炸裂:7月交易量创历史新高(约42.4亿笔),周非投票交易突破10亿笔大关,日活地址接近高位。DEX成交量、应用收入(约8290万美元)、稳定币供应(约157亿美元历史高位)都表现强劲。RWA(真实世界资产)价值也刷新高,突破37亿美元级别。
技术升级持续:区块容量提升到1亿CU(+66%),slot时间向350ms甚至更低推进,网络吞吐和稳定性继续加强。
机构与生态信号:Solana相关ETF资产已达一定规模,机构配置仍在,代币化股票等新场景落地。同时Pump.fun持续卖出SOL(累计已卖出大量,按高价计算总价值超8亿美元),带来一定抛压。
多空博弈现场
看多理由:
“价格在睡觉,链上在开派对!”网络真实使用量、RWA、稳定币、交易吞吐全面爆发,历史上这种“价格与基本面严重背离”的时刻,往往酝酿大行情。只要宏观环境不崩、BTC稳住,SOL一旦突破关键阻力(比如$80附近),弹性会非常大。
看空/谨慎理由:
从$294高点大幅回撤后,技术面仍偏空(部分分析提到双顶、EMA压制,甚至有看向更低位的声音)。Pump.fun持续卖压 + 整体加密市场情绪一般,短期可能继续在$70支撑附近反复测试。若跌破关键支撑,回调空间仍在。
一句话总结
SOL现在像一辆引擎全速运转、但油门被踩住的超级跑车。
链上数据在疯狂刷屏、生态和机构在铺路,价格却死死卡在$74附近。
要么是“价值发现前的最后横盘”,要么是“抛压还没消化完的震荡期”。
短期关注:
$70–$72支撑能否守住
能否放量突破$75–$80
整体市场风险偏好变化
$SOL A popular read floating around today goes something like this: lawmakers pushed back a major crypto bill, the market was supposed to tank, and instead the leading digital asset climbed anyway — proof of underlying strength. It's a satisfying story. It's also probably attributing the wrong cause to the right effect. What actually happened in Washington Senate leadership confirmed there will be no floor vote on the Digital Asset Market Clarity Act before lawmakers leave for August recess. The hold今晚的一个数字可能决定市场的下一步走向。
数周来,投资者一直在争论同一个问题:美国经济是否终于放缓到足以迫使美联储采取行动?今晚的非农就业报告或许能给我们答案。
疲软的ADP就业报告已将预期下调至仅7万至8万个新职位,这是今年最低的预测。但情况有些复杂——初请失业金人数已连续三周低于20万。招聘放缓,但企业并未急于裁员。
这就是今晚数据如此重要的原因。
若报告弱于预期,将加强美联储降息的理由,可能导致美元走低,同时推动黄金和Bitcoin再次上涨。若报告强劲,将重新激发通胀担忧,推高国债收益率,并给风险资产带来压力。
市场已开始在发布前布局。
黄金($XAU)已回升至4300以上,显示交易者已在押注就业数据走软。尽管技术上看似超买,买家并未退缩。
Bitcoin($BTC)维持在约65,000水平。ETF资金流入依然健康,但美国机构卖出与亚洲买入相互抵消。黄金已选定方向——Bitcoin仍在等待催化剂。
SanDisk($SNDK)业绩超预期并宣布140亿美元股票回购计划,但股价在公布后仍下跌。这说明市场预期极高。疲软的非农报告可能引发缓解性反弹,而强劲报告则可能继续给高增长股施压。
SpaceX在锁定期结束时意外上涨,尽管存在巨大潜在抛售压力。这表明机构需求比许多人预期的更强劲。不过,120附近的阻力仍是关键水平,买家需有足够信心突破。
今晚不仅仅是另一份数据发布。
它是对美联储、市场以及每个主要资产类别的现实检验。
黄金。Bitcoin。SanDisk。SpaceX
#DailyOrbit 一、8月7日周五美盘分时走势(日内震荡下行)
1. 基础数据
前一日(8.6)收盘:1258.58美元
今日开盘:1308.16美元(盘前小幅高开修复昨日大跌)
日内区间:1184.37~1309.53美元
盘中最低12:34美东报价1230.16美元,日内跌幅2.26%,盘中最大跌幅超6%
全天成交972万手,成交额119.47亿,换手率6.65%,抛压持续释放。
2. 日内走势过程
- 开盘冲高:早盘短暂摸到1309压力位,多头无力站稳,获利盘集中兑现;
- 单边回落:开盘后持续震荡走低,每一轮小幅反弹都伴随放量卖出;
- 低位横盘:午盘后在1220-1240区间弱势震荡,无明显资金抄底,全天重心下移。
二、连续两日大跌核心逻辑
1. 财报利好兑现,下季度营收指引不及市场乐观预期(指引103-108亿,低于机构一致预期),典型“买预期、卖事实”行情;
2. 多家投行同步下调目标价:花旗、杰富瑞大幅下调估值,机构信心转弱;
3. 前期涨幅巨大,全年最高涨幅超400%,高位积累海量获利盘,资金集中出逃;
4. 存储板块全线走弱联动:西部数据暴跌、美光、海力士同步回调,板块无独立行情;
5. 美联储官员偏鹰表态,美债收益率上行,高估值科技成长股集体承压。
三、关键技术价位(观测参考)
1. 强压力区:1300-1324美元(近期双重高点,站稳才能扭转短期下跌通道)
2. 多空争夺位:1250美元(前期收盘平台,反弹第一道阻力)
3. 短期支撑:1184美元(8月7日日内低点)
4. 强防守支撑:1163美元(8月6日最低点,本轮调整关键底线,跌破将打开更深下行空间)
四、盘面观察思路(仅行情观测,不作为操作依据)
持仓投资者观察要点
1. 反弹至1290-1324压力区间属于减仓区间,短期趋势偏弱,不宜加仓;
2. 若后续有效跌破1163支撑且放量,调整空间会进一步扩大,注意规避回调风险。
空仓观望思路
1. 不急于左侧抄底,短期下跌趋势未结束;
2. 两种安全观察信号:
① 放量突破1324压力位,趋势修复再考虑;
② 回踩1163附近连续企稳、分时出现持续大额承接资金,再轻仓博弈超跌反弹。非农转弱,$ETH 为什么还在1900美元磨?
最近宏观环境其实在朝着利好加密的方向走。
美国就业明显降温,美债收益率回落,美联储继续收紧的压力下降。按过去的逻辑,ETH这种高Beta资产本应该比BTC反弹更猛。
但现实恰恰相反:ETH依然在1900美元附近反复震荡,ETH/BTC也只有0.03左右。
这说明现在ETH真正缺的不是宏观利好,而是资金共识。
BTC已经成为机构配置加密资产时的第一选择,而ETH虽然有ETF、质押收益、DeFi和稳定币生态,但这些逻辑还没有转化成足够强的增量买盘。
不过我反而觉得这里值得关注。
BlackRock已经推出带质押收益的ETH ETF,意味着ETH正在从单纯的“加密资产”,逐渐变成一种可以产生现金收益的机构资产。
所以接下来ETH真正要看的不是某一天涨3%还是跌3%,而是两个信号:
第一,ETH能不能有效突破2000美元。
第二,ETH/BTC能不能重新站回0.03上方并持续走强。
如果这两个信号同时出现,那才说明资金开始从“只买BTC”转向重新配置ETH。
我的判断:现在的ETH不是强,而是赔率开始变得有意思。
BTC负责确认加密牛市还在不在,ETH则决定下一阶段有没有真正的山寨行情。#联储鹰派信号升温,弱就业能否压过通胀?
I'm actually not too concerned whether this non-farm payroll report is bullish or bearish.
When the data explodes, market volatility is high; when the data weakens, volatility is also high. No matter which direction it goes, there is arbitrage space within the grid range. Whether the bad news is fully priced in or employment warms up, the one-sided market is left for those betting on direction; what I want is price oscillation.
ADP's 44,000 is indeed weak, and initial jobless claims have been below 200,000 for three consecutive weeks, the data conflicts. Cook said preparations for action are underway, and the market is still pricing in a 56.7% chance of a rate hike in September. The macro theme has shifted from "weak employment driving rate cuts" to "can weak employment suppress inflation." Direction is uncertain, volatility is certain, and the grid strategy fits perfectly.
$SNDK SanDisk grid is still running, price oscillating between 1300 and 1400, the lower bound of the range at 1219 hasn't been broken, the grid keeps capturing spreads. No matter what the non-farm number is, as long as volatility increases, the grid can capture multiple rounds. When it falls, the grid buys at the lower bound; when it rises, it sells at the upper bound, both are profits.
So the more explosive the non-farm, the better, the larger the amplitude, the better. Rising or falling is fine, as long as the volatility is there. I don't judge the direction of rise or fall at this position; I just wait for the grid to automatically adjust. If it falls too much, there's a forced liquidation price at 935 as a safety net, so no need to panic for now. The greater the volatility, the more arbitrage opportunities, and the grid's returns will only increase.#AIMemoryBullTest #FedHawksVsWeakJobs #SpaceXUnlockRebound 🤗Extra!🤗Extra!: US nonfarm payroll data is out
As soon as this data came out, I just laughed. Nonfarm payrolls in July decreased by 23,000, while the expectation was an increase of 80,000, so jobs directly contracted and turned negative. Looking at inflation still stuck high at 3.8%, this clearly means the economy is not doing well and prices are extremely high.
What does this mean for $BTC? The underlying logic is definitely bearish.
The Federal Reserve now dares not cut interest rates, fearing inflation will explode, nor dare to raise rates, fearing employment will collapse. In the end, they can only choose to hold high interest rates stubbornly, stop printing money, tighten liquidity, so $BTC, which relies on liquidity to rise, has to take a hit.
But don’t panic in the short term: with bad data, the market first bets that the Fed won’t continue to be hawkish, so $BTC might not fall but rebound a bit. But this doesn’t change the essence—there’s no real easing, it’s just a show.
Sigh! Be patient. I’m waiting to act only when $BTC is above 40,000.
The rest of the time, just watch the show.#AIMemoryBullTest #FedHawksVsWeakJobs #SpaceXUnlockRebound 🚨 THE U.S. JUST LOST JOBS… AND MARKETS WEREN’T READY FOR IT.
The latest NFP report came in at -23K vs. +85K expected.
That’s a massive miss — instead of adding jobs, the U.S. economy actually lost 23,000 jobs.
Here’s how I’m reading it 👇
📉 USD: Bearish
🟡 Gold: Bullish
🚀 BTC & Crypto: Potentially bullish
A weaker labor market could increase expectations for easier Fed policy and future rate cuts — generally a positive setup for risk assets.
But there’s a catch. ⚠️
A number this weak also raises the risk of a sharper economic slowdown. If markets start pricing in recession instead of rate cuts, volatility could get ugly.
So I’m not chasing the first move.
I want to see $BTC confirm the direction before making any decisions.
The market will react fast.
I’d rather react to confirmation than become exit liquidity.
Stay patient.
Let the market reveal its hand. 👀
$BTC $ETH
#DailyOrbit OKB为什么值得买?从最本质的“买卖关系”看供需逻辑
加密货币的价格,归根结底只有一个决定因素:供需关系。
供不应求,价格涨;供过于求,价格跌。其他叙事最终都要落到“有人愿意持续买、有人舍不得轻易卖”这个买卖关系上。
OKB在2025年8月完成彻底的代币经济重构后,把这个逻辑推到了极致。
一、供应端:彻底锁定,几乎不再增加
2025年8月,OKX一次性销毁约6525.67万枚OKB,总供应量被硬性锁定在2100万枚。
智能合约随后升级,铸造功能被彻底移除,理论上无法再增发。
结果很清晰:
- 没有未来解锁压力
- 没有通胀稀释
- 没有“团队预留随时砸盘”的不确定性
- 流通量 = 总量 = 2100万
在买卖关系里,这相当于把“潜在卖方抛压”大幅压缩。市场上能卖的OKB总量是固定的,且大量被长期持有者、质押者和生态参与者锁住。供应端弹性几乎为零。
二、需求端:真实、可持续的内部与链上驱动
供应锁死后,价格上行完全取决于需求能否持续增长。当前OKB的真实需求,已从传统交易所折扣,转向更扎实的内部产品与X Layer链上行为:
1. OKX内部预测市场(Outcomes / Event Contracts)
OKX已上线并持续扩展预测市场产品。用户围绕真实世界事件(赛事、宏观数据、加密行情等)进行交易。更关键的是,通过Exchange OS,开发者/机构要在X Layer上部署自己的预测市场(或现货、永续市场),必须质押OKB。
这直接形成“部署市场 → 锁定OKB → 减少流通”的刚性需求,同时预测市场本身的交易活跃度也会消耗Gas(OKB)。
2. 更多RWA资产持续上链
X Layer正加速承接真实世界资产(RWA)。包括tokenized美股(xStocks)、RWA支持的稳定币、国债/信用类资产等。RWA上链后,会产生持续的链上转账、清算、抵押、交易行为,这些都需要消耗OKB作为Gas。
RWA规模越大、品种越多,链上真实使用频率就越高,对OKB的购买需求就越稳定。
3. X Layer持续的X Launch与市场部署
借助Exchange OS,X Layer上可以持续推出新的交易市场、预测市场和项目上线(类似链上版Launch)。每一次新市场的部署和运行,都需要OKB质押+Gas消耗。这不是一次性活动,而是可持续的“上新”机制,不断制造新的需求入口。
4. Stake驱动的生态链上行为
质押OKB已成为参与X Layer核心生态的关键门槛:部署市场要质押、部分流动性激励与治理相关行为也涉及质押。质押直接锁仓,降低可流通供应量;同时质押者与生态深度绑定,卖出意愿下降。
链上DeFi、借贷、交易等行为叠加,进一步放大了OKB作为Gas和质押资产的双重需求。
这些需求不是纯炒作买盘,而是来自OKX内部产品落地 + X Layer真实链上活动的持续产生。
三、供需剪刀差:买卖关系的不对称
用最简单的公式理解:
价格 ≈ 需求 / 供应
- 供应被永久锁定在2100万,几乎没有新增。
- 需求端则由预测市场部署、RWA上链、持续X Launch、Stake锁仓等多重真实场景驱动,随着生态扩张而增长。
当供应几乎不动,而需求在缓慢(甚至阶段性加速)上升时,买卖关系就会自然偏向买方。
历史多次销毁,以及2025年的大销毁,本质上都是在强化这个“供应刚性 + 需求弹性”的结构。
四、总结
OKB目前的核心吸引力,不在于“交易所代币会涨”,而在于:
- 供应端已经完成不可逆的稀缺化;
- 需求端绑定了OKX内部预测市场、RWA资产上链、X Layer持续上新与Stake驱动的链上行为;
- 买卖双方的力量对比,正在向“想买的人比想卖的人更有耐心”倾斜。
在加密市场里,真正可持续的上涨,往往来自这种供需结构的长期不对称。OKB把供应端不确定性几乎清零,把需求端与内部产品和公链真实增长深度绑定,这就是它从买卖关系角度最值得关注的地方。
当然,任何资产都有风险,X Layer实际采用速度、RWA落地进度、整体市场周期都会影响最终结果。但从纯粹的供需与买卖关系出发,OKB当前展现出的结构,是相对清晰且有利的一种。
$OKB No Elizabeth Warren is not a champion of the downtrodden against the power of "Big Crypto"
Let the record remind us that she is a big-bank funded politician who launched an "anti-crypto army" (a move which contributed to the Democrat party losing the last election and prompting the need for entire Bitcoin and crypto community to get political in the first place to stop the debanking, the vilification and the misinformation).
Here are the receipts of Warren's past statements about Bitcoin mining alone
For context, Bitcoin mining has been found in multiple peer reviewed studies to help stabilize grids, accelerate green energy adoption, monetize stranded renewable energy.
Other independent studies have showed Bitcoin mining to reduce community power prices, safeguard against instability caused by AI, and mitigate environmentally harmful methane emissions.
She also on multiple occasions mischaracterized Bitcoin's demand response (which IEA has said as critical to the green energy transition) as a habit for bitcoin mining companies to "collect subsidies ...[to] shut off their mining operations and do nothing."
She then used these factual errors and mischaracterizations to request commercially sensitive information from miners with a "comply of be fined $10,000/day" notice, which required a court injunction to block
There has been no retraction, no apology, no accountabilty for the multiple statements that have been shown to be factulaly inaccurate.
Warren on Bitcoin mining:
"Bitcoin mining consumes roughly the same amount of electricity as Washington state—putting pressure on our power grids and worsening the #ClimateCrisis." (X, 7 Sept 2021)
"We need to protect our planet and crack down on environmentally wasteful crypto mining practices." (same post)
"Bitcoin's estimated annual power consumption increased more than threefold between the beginning of 2019 and May 2021, rivaling the total energy usage of countries such as Denmark, Chile, and Argentina, and comparable to the entire energy consumption of Washington State."
#DailyOrbit Shocking, $SPCX unlocked for the first time, with a potential selling pressure worth 100 billion, but surprisingly it rose instead of falling last night:
1. Elon Musk led the call not to sell, and actually motivated the employees (probably because the employees also thought the price was too low). In the end, the only ones actually selling were the IPO institutions.
It turns out that out of the potential 100 billion selling pressure, only about 10 billion was sold, cashing out to invest in stocks like Anthropic and OpenAI.
2. Another unexpected effect of the unlocking is: before unlocking, only 5% of $SPCX was freely circulating, with pricing power in the hands of high-frequency market makers and hedge funds, who had opened a large number of short positions.
Now with the unlocking, the circulating supply has risen to over 20%, shifting the pricing power from the short-selling hedge funds to the market. Their covering of a large number of short positions actually drove the price up.
3. Elon Musk is still impressive, managing to persuade everyone not to sell. It feels like the market is resetting expectations today: since no one is selling this time, does it mean that future unlockings won’t lead to selling?
I’ve decided to observe for a while longer: even if employees really think the price is too low and don’t sell, if Musk continues to invest heavily in AI and the price eventually drops, there might be panic selling. #财报观察员:解禁后反涨,SpaceX后续怎么看? #AIMemoryBullTest #FedHawksVsWeakJobs #SpaceXUnlockRebound 📈 UNIUSDT 做多信号 | 评分85/100
已自动开仓 | --x | 保证金47U
📊 交易参数
• 入场: 4.028
• 止损: 3.88303325
• 止盈: 4.35993349
📐 评分明细 (趋势25/30 动量20/20 合约10/20 位置30/30)
• | RSI=--()
• 布林带: 中轨(50%) | 资金费率: --
🔍 分析理由
• ✅ 价格4.042接近EMA20(4.01498052): 支撑位附近
• ✅ 突破回踩EMA20确认: 看涨信号
• ⚠️ 止损 3.88303325 (‑3.93%) | 止盈 +7.86% | 盈亏比 2:1
• 💡 现价入场,严格止损,盈亏比2:1
⚠️ 风险提示
• 止损 ‑3.9% | 止盈 +7.9%
• 盈亏比 2:1 | 严格止损
• 本文仅供学习参考,不构成投资建议
#合约 #交易信号 #LONG #UNI #量化交易📍 $BTC is back above $65K, $ETH holding near $1,930 — a firmer tape, but conviction hasn't fully caught up to price yet.
The spark: this morning's employment data landed well short of forecasts, reviving hope that policymakers ease sooner rather than later.
What's more telling, though, is the flow underneath the bounce — both spot BTC and ETH funds have now logged back-to-back days of net buying. That matters because fading institutional appetite was a big part of what dragged prices down in the first place, so its return is a meaningful tell, not just noise.
Still, this isn't a full-blown breakout yet:
🔹 Volume hasn't caught up to price — turnover remains thinner than what usually accompanies a genuine trend change
🔹 Money is staying concentrated in majors, with smaller-cap names still getting passed over
🔹 Every push higher keeps running into sellers locking in gains, so momentum is capped rather than compounding
The level to watch: can $65K–$66K hold as a floor going forward, or does it act as a lid the way it has in past attempts? That, paired with whether these ETF inflows keep showing up daily, will say more about the next stretch than today's headline price does.
Not financial advice.
Sources:
BTC/ETH price levels and jobs-report reaction: Yahoo Finance markets desk, Coinbase price data — August 7, 2026
ETF inflow streak and $65K–$66K support/ceiling analysis: CryptoTicker market wrap, early August 2026
$BTC $ETH
#AIMemoryBullTest #FedHawksVsWeakJobs #SpaceXUnlockRebound I am Cige. The unemployment rate is 4.1%, lower than the expected 4.2%, and the previous value was also 4.2%. This data itself is not bad, and can even be said to be slightly better than expected. But the market won't only look at the unemployment rate; the non-farm payrolls are the real focus tonight. The market consensus expects an increase of about 80,000 jobs, with the previous value at 57,000. The unemployment rate dropping from 4.2% to 4.1% indicates the labor market is still tightening, not loosening. The job market remains tight, which actually strengthens the Federal Reserve's confidence to raise interest rates. For BTC, this is considered a somewhat hawkish signal.
What does a 4.1% unemployment rate mean for BTC?
A declining unemployment rate means the economy has not yet entered a recession trajectory; companies are still hiring, and the job market remains tight. This gives the Federal Reserve no reason to cut rates, and certainly won't stop rate hikes. On Thursday, the ISM Manufacturing PMI surged to 55.6, a four-year high. Now with the unemployment rate below expectations, both data points point in the same direction: the U.S. economy remains resilient. The Fed can fully maintain high interest rates or even tighten further. CME data shows the probability of a rate hike in September remains around 54.5%, and after the unemployment rate release, this number is unlikely to decrease.
Non-farm payrolls are the real focus tonight
Now it depends on where the actual new job numbers fall. The unemployment rate has already signaled a hawkish stance, taking the lead.
If new jobs are below 60,000, the data is broadly weak. Combined with the structural contradiction of a falling unemployment rate, the market will first trade on the "economic cooling" logic, the probability of a September rate hike will decline, the dollar will weaken, and BTC will break upward in the short term. A volume breakout above 65,000 and holding there suggests going long,
#AIMemoryBullTest #FedHawksVsWeakJobs #SpaceXUnlockRebound 伊朗拟收紧霍尔木兹海峡通行规则
伊朗议会正审议收紧霍尔木兹海峡和波斯湾过境规则的草案,拟限制与美国、以色列及相关行动有关的船只通行,并对违规行为处以货物价值最高20%的罚款。市场读法偏利空加密风险资产。霍尔木兹海峡是全球能源运输关键通道,规则升级会推高地缘风险和油价波动,进而影响通胀预期、美元流动性和BTC、ETH等风险资产偏好。草案尚未获批,短线重点看原油、美元和美股风险情绪是否同步走弱。
来源:PANews
#BTC #ETH #Crypto100W非农大爆冷,本该利好高估值科技,但存储股却逆势杀跌——这个反常走势,比数据本身更值得关注。
7月非农减少2.3万人,预期增加8万人,5、6月还合计下修10.3万人。数据公布后美债收益率下降、美元走弱,纳指仍上涨约1.3%,说明市场首先交易的是“加息预期降温”。
但存储板块明显跑输大盘。我的判断是:非农只是触发器,高预期和此前巨大涨幅才是主要燃料。
SNDK、MU、SK海力士、STX、WDC分别对应NAND/SSD、HBM/DRAM和HDD等不同细分领域,基本面不可能一夜同时恶化。同步走弱更像板块层面的估值重定价与风险敞口收缩,而不能直接证明AI存储周期已经见顶。
不过短线信号确实偏弱:连收益率下降、纳指上涨都无法带动存储股,说明上方供应仍重。
接下来真正要看的是存储价格、毛利率和云厂商订单是否持续恶化。在这些基本面信号出现前,不宜直接喊周期见顶;但在存储股重新跑赢大盘、收复关键结构之前,反弹更适合先定义为筹码修复,而不是确认趋势反转。$SNDK #存储股财报后下挫,AI内存牛市还稳吗? 2/Concentration set records in July.
Binance: 42.81% of all volume, its highest share in this report series.
Top five venues: 87.7%, also a record.
Binance's lead over OKX: about 2.5x.
$BSB 高盛:
雲端服務商巨頭, 此刻現金流處於拐點
明年起將大幅改善
特別點名
Meta, Google, Amazon, Microsoft , Oracle
個人重倉ORCL, 目前浮虧近7位數美金
一股不賣, 持續做多, 我相信算力會是風口$SNDK seems likely to fall further; Q4 earnings exceeded expectations, yet the stock plunged sharply.
The next quarter's earnings will definitely be worse than Q4, just as $META Chairman Zuckerberg said, storage chips are already in surplus.
The supply-demand relationship has shifted—from previously undersupply to now overcapacity.
Products can't be sold, and the company can't make money.
I even suspect that the sharp drop after the Q4 earnings release was a preemptive reaction anticipating the poor next quarter earnings report.
Therefore, $SNDK will either keep falling or trade sideways until the next quarter's earnings come out. When the stock price no longer reacts violently, it means the negative news has been priced in, and then it will slowly recover.
What troubles me now is that I bought the dip when SanDisk plunged hard. Should I close my long position and switch to short? #AIMemoryBullTest #FedHawksVsWeakJobs #SpaceXUnlockRebound 今晚的盘面结构清晰指向——真正的波动正在酝酿。
筷子上那点油星子还没凉透,人已经瘫回椅子里了。短视频刷了两分钟,嘴角刚咧开,拇指已经自动划到了持仓页面。最近几天整个盘面软得像块嚼过的口香糖,黏黏糊糊没个利索方向,但在这个圈子待久了都懂——越是要死不活的横盘,越是在给下一场屠杀铺红地毯。
瞥了眼时间:2026年8月8日,晚上九点过半。楼下烧烤摊的烟裹着孜然味飘上来,偶尔夹几句醉汉的吆喝。白天两场线上会说得口干舌燥,这会儿静下来翻了翻链上的流水账,顺了几遍地址动静。数据不会骗人,谁在偷偷建仓,谁在慌不择路地跑,一笔一笔都刻在账本上。
先拣能看的说。
$BTC 今天波动范围比昨天缩了一个身位,期权市场暧昧得很——大资金集体装死,挂单薄得跟纸一样,随便一个百万级别的单子都能插出根针来。链上有个休眠了四百多天的老地址今天动了,把币打散成十来份往不同方向转,几笔拐进了做市商的常用入口。这种睡醒的僵尸地址每次出动,后面往往跟着点动静,至少说明有人在重新摆棋子。
$ETH Gas费在低位趴了一整天,主网跟周末凌晨的街道一样空旷。现货ETF那边倒是没停过手,蚂蚁搬家式的钝刀买入,量不大但持续。这种节奏持续下去,供需的天平迟早会歪。
$SOL 今天有个细节值得留意:链上质押量突然多了几百万枚,解锁日期全在四季度。这不是散户的节奏,像是有计划地在卡某个时间窗口。
DeFi板块有几个亮色。 $AAVE 上出现了一笔千万级别的稳定币借贷,借款方是个老地址,操作纪律严明,不像是临时起意。$MKR 回购量蹿了一截,$UNI 前端交易量也翘了翘头。大盘死气沉沉,但几个头部协议里有人在动。$LINK 数据调用量还是那么硬,不管二级市场怎么折腾,预言机这层生意该做还得做。
**RWA那条线里,有个地址在持续吸筹 $ONDO**,每隔个把小时吃几百个,机器一般的节奏,像在默默铺底仓。$ENS 域名注册量今天突然爆了一波,在这个赛道里算个反常信号,数据存档了,没急着下结论。
Meme这边还是老样子。 $PEPE 跟着 $BTC 的屁股后面晃悠,市场没方向的时候,这东西就成了赌场里的轮盘。但分化很明显,前排那几个还能维持体面,后排的已经开始散发出腐烂的味道,成交量萎缩得不成样子。
再扫一眼那些扶不上墙的。
L2赛道被抽走了脊椎骨。 $ARB 和 $OP 活跃地址数再创新低,$STRK 价格在底部又往下拱了一截,卖单像瀑布一样压下来,接盘那点力量跟拿茶杯去接洪水似的。$SUI、$SEI、$APT 这几个新公链的代表,走势图一个比一个难看,高点依次下移,像个下楼梯的醉汉。热钱早就抽干净了,剩下的全是套牢盘硬扛。技术底子不差,但市场这玩意儿从来不管你有什么技术,它只关心明天谁来接盘。
$WIF 换手率缩到了冰点,$BONK 和 $FLOKI 弹了一小下就被按回去摩擦。头部还能苟延残喘,底下的基本没人看了,连讨论的热度都散了。
$CRV 和 $CAKE 的社区基本处于半休眠状态,偶尔刷到一条帖子,评论区零星几条回复翻不出第二页,内容翻来覆去就一个意思:“这项目还在?”当最后那批死忠都开始动摇的时候,往往离底部不远了。但“不远”这个词在币圈可以拉长到好几个月,别急着伸手,下面可能还有十八层地下室。
还有一些项目挂在高位半死不活:$TIA、$INJ、$PENDLE、$FXS、$CVX。基本面没崩,但就现在这流动性环境,随便来条利空消息都能砸出个深坑。看不清的时候把手揣兜里,至少不会犯错。
今天主流品种的走法。 $BTC 贴着开盘价磨了一整天,期权隐含波动率压到了近几个月低位——这不是风平浪静的信号,是暴风雨前那种让人窒息的死寂。$SOL 盘中蹿了三个多点,没撑过二十分钟就被锤回原点,这货一直是情绪的体温计,涨得快泄得也快。$FET 和 $AGIX 还算坚挺,AI赛道还有人愿意听故事,前提是 $BTC 别出岔子。$AR 缩量横着走,价格区间窄得跟头发丝似的,市场风险偏好还压在地板上。
过了一遍今天的资金脉络。
净流入:$ENA、$PEPE、$ONDO、$LINK、$UNI、$AAVE、$MKR、$ENS、$LDO、$RNDR。
净流出:$WIF、$BONK、$FLOKI、$ARB、$OP、$STRK、$SUI、$SEI、$APT、$DYDX、$CRV、$CAKE。
但这些数据过了今晚就是废纸。明天睁眼可能全部倒转,别把一时的资金流向当真理——这市场翻脸比你对象还快。
有些行情本来就不是给你准备的。有些夜晚就该把屏幕扣过去,窗帘一拉,爱谁谁。$DOGE DOGE长期横盘、价格停滞不前的核心原因
一、代币经济永久通胀,无稀缺性托底(最根本压制)
1. 无总量上限,每年固定新增52.56亿枚,永久持续发行,不存在比特币式的总量稀缺叙事。当前流通量约1540亿枚,年化通胀稳定3.3%左右,每年需要新增数亿美元买盘才能抵消新增抛压,一旦资金流入放缓,价格直接承压。
2. 无销毁机制:转账手续费不会销毁DOGE,所有手续费全部给到矿工,没有任何通缩渠道持续减少流通供给;比特币靠减半+手续费销毁收紧供给,DOGE完全相反。
3. 设计初衷是“小额流通货币”,而非价值存储资产,天然不适合长期囤币升值,长期持续稀释持有者筹码。
二、核心叙事严重落空,马斯克效应持续衰减
1. X平台(原推特)X Money支付未接入DOGE
市场最大上涨预期是X平台内置DOGE小额打赏、支付功能,但2026年X Money正式公测仅支持法币、BTC、ETH,完全剔除DOGE,多年核心叙事证伪,资金信心大幅流失。
2. 马斯克舆论拉动效果大幅减弱
2021年一条推文就能拉动DOGE暴涨30%+,2024年后马斯克全年仅1次直接提及DOGE,且发文后行情仅脉冲5%就快速回落,市场已经免疫其言论,缺少持续热度催化剂。
3. 特斯拉、SpaceX仅少量周边支持DOGE支付,线下商户总接纳商家仅2000余家,规模极小,无法形成大规模真实需求 。
三、无底层生态与刚需,不存在内生现金流
1. 原生链不支持智能合约,无法运行DeFi、NFT、借贷等应用,链上TVL仅千万级别,几乎没有链上经济活动,没有必须持有DOGE才能使用的产品。
2. 仅有的用途只有转账打赏,替代方案极多(BTC、ETH、各类稳定币都能小额转账),不存在不可替代的刚需场景。
3. 无项目营收、手续费回购、代币消耗闭环,上涨完全依赖场外投机资金,没有基本面托底,热度退潮后资金会快速撤离。
四、Meme赛道资金分流,热度被新币种持续抢占
1. 每年大量新Meme币(PEPE、BOME等)瓜分市场投机资金,散户资金不断轮动追逐新热点,DOGE作为老牌Meme,资金吸引力持续下滑。
2. 牛市行情中,资金优先选择涨幅弹性更大的新迷因币;熊市里大盘走弱时,无基本面的DOGE跌幅远超BTC、ETH,资金避险时直接抛弃DOGE。
五、筹码结构失衡,高位套牢盘长期压制
1. 历史高点0.73美元,当前价格长期在0.07-0.1美元区间,最大跌幅90%,沉淀海量2021年高位套牢筹码,每一轮小幅反弹都会迎来解套抛售,上涨空间被层层压制。
2. 筹码高度集中:前100大地址持有约66%流通DOGE,大额持仓大户一有反弹就出货,很难走出持续单边上涨行情。
六、机构资金认可度极低,增量资金枯竭
1. 虽然美国上线DOGE现货ETF,但资金流入规模极小,对比BTC/ETH ETF数百亿资金体量差距巨大,机构仅少量配置,没有大规模长期加仓。
2. 大型资管、传统金融机构普遍规避DOGE,其无上限通胀、无智能合约生态的缺陷,不符合机构长期配置资产标准,仅散户存量资金博弈,缺少增量资金推动行情突破区间。
DOGE打破横盘的唯一触发条件(全部满足才会走趋势行情)
1. X官方正式官宣X Money全量接入DOGE支付打赏,全球海量用户产生真实持续小额转账需求;
2. 推出链上销毁机制,或落地大规模商业支付场景,每年消耗DOGE规模超过新增通胀代币量;
3. 加密市场进入全面大牛市,Meme板块集体狂欢,增量投机资金批量涌入。
仅单一消息刺激只能带来短期脉冲反弹,无法扭转长期横盘、缓慢承压的格局。看盘界面上的代币列表呈发散状拓展开来,资金却依然卡在少数几个交易池里重叠扭动。横盘振荡的周期被拉长,离散的盘面让等候全面扩散的期待不断落空。
主流资产在狭窄区间内维持高位换手,大部分尾部资产的每日成交量持续萎缩,深度挂单区日渐稀疏。盘面不再呈现板块交替推升的节奏,代币涨幅榜的换榜速度显著加快。
新公链与各类应用层项目在短期内大量吸纳注意力,代币供给总量的快速膨胀超出了场内增量资金的承载极限。有限的流动性在不同概念间快速轮转,难以在单一方向上形成沉淀。
存量博弈的环境直接导致流动性向极少数具备真实承载力的标的集中。若场内资金无法完成整体扩容,尾部资产的估值下行就会从短期波动演变为长期趋势。
如果场外资金重新形成持续净流入,且衍生品未出现过度加杠杆的警示信号,行情可能率先在头部流动性充裕的标的上展开破位拉升,但若主流资产率先失守支撑,这一反弹路径将宣告失效。
若主力资金继续从尾部项目出逃以维持头部流动性,成交额低迷的标的可能遭遇持续阴跌,除非部分板块出现具备粘性的新增活跃用户来强行打断失血状态。
当尾部代币的换手率与流动性深度出现全局性回升,且资金沉淀时间明显拉长时,当前关于极速轮动的判断将被证伪。
接下来七天最值得观察的变量,是场内前十名标的成交量占比是否会打破当前的集中状态。
#黄金4200美元拉锯,BTC为何没跟涨? #Circle财报后押注Arc,USDC能否迎来新增长? #Uniswap进军发射台,UNI能否打开新叙事?The $BTC spot buying we saw earlier this week has dried up.
Today’s move is being driven by perp buying, while OI is surging.
That’s not bearish unless price confirms it, but it tells us where we are in the rally.
Spot tends to lead. Perps chase. Then late longs get flushed.#联储鹰派信号升温,弱就业能否压过通胀?
今晚非农出来以后,我第一眼看到的感觉就是两个数字不对称
7月美国非农就业直接减少 2.3万人,市场原本预期增加约 8万人。更麻烦的是,5月和6月合计又被下修 10.3万人。
可失业率反而从4.2%降到了 4.1%。
只看失业率,很容易觉得就业还挺平。把细项翻出来就不一样了。7月有 26.4万人退出劳动力市场,劳动参与率降到 61.4%,已经接近五年半低位。失业率下降,很大一部分原因来自参与找工作的人变少。
这也是为什么数据出来后,美债收益率和美元一起往下走。
LSEG数据显示,9月加息概率在非农公布前约 57%,数据出来后一度降到 43.9%。市场明显开始怀疑,美联储还有没有必要在就业已经这么弱的时候继续加息。
但这里我不会直接得出宽松来了这个结论。
美联储上次会议把利率维持在 3.5%到3.75%,12名投票委员里有3个人支持加息25个基点。Kansas City Fed主席Schmid前两天也还在强调通胀太高,希望货币政策进一步收紧。鹰派声音并没有因为一份非农就消失。
真正决定下一段行情的,我更关注 8月12日的CPI。
6月老美 CPI同比还是 3.5%,距离美联储2%的目标很远。7月CPI会在北京时间8月12日20:30公布,路透目前调查预期同比约 3.4%,核心CPI约 2.5%。
这里就出现了三种很清楚的路径。
CPI继续降温
就业弱,通胀也往下走,9月加息预期还有继续下降的空间。美债收益率和美元如果同步回落,对$BTC 、$ETH 这类流动性敏感资产会比较舒服。
CPI超预期
今晚这份非农带来的利好会被打折。就业变弱,美联储又不能轻松放松政策,这种组合对风险资产反而比较难做。
CPI大幅下降,同时后面的就业继续恶化
市场就可能开始担心经济本身出了问题。早期可能因为利率预期下降而上涨,随后资金会重新评估衰退风险。
所以我现在不会因为非农只有负2.3万就把仓位直接拉满。
我的结论(仅供参考哈)
$BTC 继续作为主仓观察对象,山寨暂时少追。CPI前降低杠杆,等数据出来以后一起看 2年期美债、美元指数和BTC。
收益率跌,美元跌,BTC还能突破前高,这种行情我才愿意继续跟。
如果宏观数据已经给了利好,大饼却始终涨不动,我会把它当成一个更重要的信号。
今晚的非农已经把9月加息的门槛抬高了。
接下来轮到通胀决定,这扇门到底是继续关着,还是重新打开。承重墙还没裂,但水泥标号已经变了。S号塔楼解禁的瞬间,市场像仰望钢架悬挑的游客,屏息等待那一声金属疲劳的脆响——911.5万块预制板一夜之间涌入承重体系,甲方却用一份90%营收增速的竣工报告压住了楼板震颤。净亏损的裂缝比预期窄,但AI资本开支的标注太刺眼:那是用碳纤维包裹的膨胀螺栓,拧得越紧,现金流的石膏板就绷得越薄。
我盯着这份施工日志,手电筒的光扫过混凝土浇筑的每一道冷缝。营收7.8B,同比增量几乎是一整栋超高层核心筒的体量,但那些数字的粘合剂里掺了硅酸盐——AI算力机房的制冷管线从承重墙体内横穿而过,每一条都带着电费账单的尖锐倒角。市场不再复核图纸上的标高,所有安全帽都转向了下一个浇筑段:指引、毛利、资本开支,这才是结构工程师眼里的三根主筋。解禁的指令书像一纸变更洽商,可真正决定塔吊方向的是混凝土的养护周期——AI太空基础设施的名头再响,地基里埋的是高强螺栓还是普通圆钢,得看下一份季报的探伤报告。
有的楼宇在解禁日摇摇欲坠,有的却用新浇筑的钢梁接过荷载,差异不在钢梁本身,而在连接节点的焊缝是否饱满。EPS超预期只是外立面的玻璃幕墙,阳光一照就反射出漂亮的光斑,可玻璃背后的铝合金龙骨若被资本开支的锈蚀啃出凹痕,整面幕墙的受力模型都得推翻重算。911.5万股像悬在塔吊臂上的配重块,当它移动的那一刻,塔身已经用二次矩分配掉了这波颤抖——问题是,谁在意过配重块移动的速度?
他们用白皮书勾勒过100层的轮廓,用路演PPT炫耀过全景落地窗,但只有靠在灰浆里的钢筋知道,每次混凝土泵车停摆的深夜,墙体内部都藏着新的收缩裂缝。AI叙事是建筑信息模型里的高亮渲染图层,可模态的承重墙和结构深化图,却印在每个月末的现金流明细表上。
当所有人盯着解禁的吊装窗口,真正的施工方在重新核算塔吊基础的抗倾覆系数——那组藏在巨额资本开支背后的单位耗钢量,远比此刻的股价斜率更接近真相。#SpaceXUnlockRebound $DOGE 这个东西,从2013年两个程序员为了嘲讽币圈泡沫随手做出来的那天起,骨子里就带着一股"反精英"的劲儿。比特币那帮人天天讲密码学革命、讲奥地利学派、讲自由银行,一派技术布道者的姿态,DOGE的创始人偏不,直接拿一张柴犬表情包糊你脸上,意思很明白:你们搞得那么严肃干嘛,币圈不就是个笑话吗。这个起点决定了它后来的社区气质——不需要白皮书,不需要技术叙事,不需要向任何人证明自己有"价值",玩得开心就行。
这种文化在社区运营上体现得特别明显。早期Reddit上的DOGE社区干过的事都很"不精英":众筹赞助牙买加雪橇队参加冬奥会,给肯尼亚捐水井,给纳斯卡车手的车贴满柴犬。没有一桩是冲着"生态建设""赋能实体经济"这种机构话术去的,全是图个乐呵顺带做点好事。这帮人甚至给自己立了条不成文的规矩:不喊单、不画饼、不搞技术优越感,谁要是在社区里端着分析基本面,会被当成异类。这种氛围对散户极其友好,门槛低到尘埃里,你不懂区块链也能进群,发个表情包就算参与。
但硬币的另一面是,这套反精英基因恰恰成了DOGE主流化路上最大的坎。主流化需要什么?需要机构愿意写研报,需要开发者社区有正经的技术路线,需要能被装进ETF那种严肃的金融包装里。可DOGE社区对这些天然排斥——机构来了被当成"华尔街收割机",正经讨论升级代码的声音会被"技术不重要,社区才重要"压下去,连开发团队都常年是半放养状态。结果就是,2024年这轮机构入场潮里,BTC有现货ETF,ETH跟上了,SOL都在排队,唯独DOGE连个像样的机构叙事都编不出来,分析师想覆盖它都不知道从哪下笔,总不能写"目标价取决于马斯克心情"。
更微妙的是,这种反精英主义还演化出了一种路径依赖。社区的核心凝聚力就建立在"我们是草根、他们是不懂梗的西装佬"这种对立感上,一旦DOGE真被主流收编,叙事反而崩塌了——你都进ETF了,还怎么嘲笑那些西装佬?所以DOGE现在卡在一个很拧巴的位置:想要主流化的价格,又舍不得草根的身份。我的看法是,这限制与其说是缺陷,不如说是DOGE的生存策略,它从来就不是要成为下一个比特币,它就是币圈那个专门拆台的草根,这个身份丢了,DOGE才是真完了。No Elizabeth Warren is not a champion of the downtrodden against the power of "Big Crypto"
Let the record remind us that she is a big-bank funded politician who launched an "anti-crypto army" (a move which contributed to the Democrat party losing the last election and prompting the need for entire Bitcoin and crypto community to get political in the first place to stop the debanking, the vilification and the misinformation).
Here are the receipts of Warren's past statements about Bitcoin mining alone
For context, Bitcoin mining has been found in multiple peer reviewed studies to help stabilize grids, accelerate green energy adoption, monetize stranded renewable energy.
Other independent studies have showed Bitcoin mining to reduce community power prices, safeguard against instability caused by AI, and mitigate environmentally harmful methane emissions.
She also on multiple occasions mischaracterized Bitcoin's demand response (which IEA has said as critical to the green energy transition) as a habit for bitcoin mining companies to "collect subsidies ...[to] shut off their mining operations and do nothing."
She then used these factual errors and mischaracterizations to request commercially sensitive information from miners with a "comply of be fined $10,000/day" notice, which required a court injunction to block
There has been no retraction, no apology, no accountabilty for the multiple statements that have been shown to be factulaly inaccurate.
Warren on Bitcoin mining:
"Bitcoin mining consumes roughly the same amount of electricity as Washington state—putting pressure on our power grids and worsening the #ClimateCrisis." (X, 7 Sept 2021)
"We need to protect our planet and crack down on environmentally wasteful crypto mining practices." (same post)
"Bitcoin's estimated annual power consumption increased more than threefold between the beginning of 2019 and May 2021, rivaling the total energy usage of countries such as Denmark, Chile, and Argentina, and comparable to the entire energy consumption of Washington State." (letter to Greenidge, 2 Dec 2021)【法老看盘】
都在问法老,协议又黄了?油价是不是又要起飞了?
法老直接说,这协议跟法老的骆驼一样,看着要签了,结果又跑偏了。 最新消息是,协议卡在最后关头了,伊朗那边内部强硬派反对,说让步太多。美国这边也不满意细节,两国还在掰扯。通航协议没签成,霍尔木兹海峡的压力就还在。
油价今天直接弹了2%多,布伦特重新逼近85美元。市场刚松一口气,结果又得把地缘溢价加回去。大饼也跟着抖了一下,从65000附近回踩到64000附近。地缘一冒烟,风险资产就得先哆嗦。
记住,好单子是等出来的,不是赌消息赌出来的。协议没落地之前,多看少动,谁急谁先输。
关注法老,财富不迷路!$BTC $ETH $BICO #伊朗阿曼通航协议遇阻,油价风险再升温