#Gate Latest Proof of Reserves Reaches 10.453 Billion Dollars#
Gate has released its latest Proof of Reserves report! As of June 2025, the total value of Gate’s reserves stands at $10.453 billion, covering over 350 types of user assets, with a total reserve ratio of 123.09% and an excess reserve of $1.96 billion.
Currently, BTC, ETH, and USDT are backed by more than 100% reserves. The BTC customer balance is 17,022.60, and Gate’s BTC balance is 23,611.00, with an excess reserve ratio of 38.70%.The ETH customer balance is 386,645.00, and Gate’s ETH balance is 437,127.00, with an excess reserve
Starting from early 2025, I used a small account of 5000 USDT and achieved a profit of over 500,000 USDT in just 3 months through systematic strategies. Below is my method sharing, hoping to inspire investors who are currently experiencing losses.
First of all, the choice of cryptocurrency is fundamental. I mainly focus on mainstream currencies like ETH and BTC, screening through the MACD indicator on daily charts. I only enter the market when the MACD line crosses above the signal line to form a golden cross, especially favoring those situations where the golden cross occurs above the zero axis, as the success rate of such signals is significantly higher. This is actually a relatively clear buying opportunity provided by the market.
Secondly, I use a moving average system for trading decisions. I focus on the daily moving average, where ( is usually the 20-day moving average ) as the basis for my positions: when the price is above the moving average, I will hold continuously; once the price drops below the moving average, I will clear my position without hesitation. This moving average effectively becomes my risk control line, simple yet very effective.
第三,合理的仓位管理是关键。 当价格突破均线且deal量同步增大并稳固站上均线时,我会考虑增加仓位。 而卖出则采取分批策略:当价格上涨40%时卖出三分之一; 上涨80%时再卖出三分之一; 如果价格跌破均线,则掉空余仓位。 这种方法既能锁定利润,and also avoid 深度鎖牢。
Avoiding traps in the cryptocurrency market requires special vigilance. This market is like a maze full of temptations, attracting many investors.
Before investing, a complete strategy must be formulated, including risk management, capital management, and position management. The cryptocurrency market is highly volatile and full of uncertainty; change is the norm. Many investors' initial mistake lies in the lack of risk awareness and market respect, leading to rapid loss of funds.
Developing an effective investment strategy is as important as a battle plan before a war. Historically, great strategic victories have stemmed from meticulous pre-planning. Establishing effective risk management, capital management, and position control systems can ensure that you navigate the market with ease and remain invincible.
At the same time, it is essential to firmly reject blindly following trends and listening to market news. The cryptocurrency market has a vast amount of information circulating daily, but most of it is just misleading, guiding retail investors into preset traps and ultimately becoming victims in the market. Independent thinking and a systematic strategy are the keys to long-term survival.