Yi Long Ma

68 posts

Yi Long Ma

Yi Long Ma

@aegiscryptos

加入时间 Ağustos 2025
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Yi Long Ma
Yi Long Ma@aegiscryptos·
$BTC $POLY $HYPE $ASTER Bottom SMA 200 Weekly RSI < 30 MVRV < 0 Realized price < price
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Yi Long Ma
Yi Long Ma@aegiscryptos·
Still valid ? @blknoiz06
Ansem@blknoiz06

@solbrdl best option by far is • consolidation for weeks between $100M & $300M • hype ath • hyperliquid lists spot • hyperliquid lists perps • spacex ipo & elon tweets • binance listing

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Ansem
Ansem@blknoiz06·
@solbrdl best option by far is • consolidation for weeks between $100M & $300M • hype ath • hyperliquid lists spot • hyperliquid lists perps • spacex ipo & elon tweets • binance listing
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Yi Long Ma
Yi Long Ma@aegiscryptos·
The kind of price action that can attract retail back into crypto again. A lot of people believe $ASTEROID is the next $PEPE , but personally I’m more convinced this price action looks much closer to $SHIB in 2021. Wdyt ? @hellojintao @blknoiz06
Yi Long Ma tweet media
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Ansem
Ansem@blknoiz06·
crypto is indisputably the best at two things 1) engineering massive scale human coordination games 2) enticing speculation whoever figures out how to combine both of these things together around raw compute capacity will make infinite
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Yi Long Ma
Yi Long Ma@aegiscryptos·
@elonmusk @FT What about asteroid as the mascot for SpaceX? Are you seriously going to put it that way? 😂😂😂
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Elon Musk
Elon Musk@elonmusk·
Yes, I need to make sure SpaceX stays focused on making life multiplanetary and extending consciousness to the stars, not pandering to someone’s bullshit quarterly earnings bonus! Obviously, IF SpaceX succeeds in this absurdly difficult goal, it will be worth many orders of magnitude more than the economy of Earth, but don’t expect entirely smooth sailing along the way.
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Financial Times
Financial Times@FT·
SpaceX is intending to guarantee Elon Musk cannot be fired and offering a trillion-dollar pay deal linked to building a colony on Mars. ft.trib.al/byv6y9T
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Marc
Marc@sometimesMarc·
During Consensus, I was asked several times about the story of ethereum:0xf280b16ef293d8e534e370794ef26bf312694126 as far as we were aware. Many people were pleasantly surprised by how we managed to exit our position without damaging the community. This is the summary. When we set up the process for accepting crypto donations at @stjude, we set the criteria that we would convert the assets donated as soon as reasonably possible. St. Jude Children's Research Hospital is focused on leading the way that the world understands, treats, and defeats childhood cancer and other life-threatening diseases. While we (the crypto industry) may wish the world would leap forward and be more on-chain, that isn't how it currently exists and we need dollar denoted currencies to run the hospital. Nearly 2 years ago, .5% of ASTEROID was sent to the St. Jude ETH wallet. We didn't have a way to readily convert it into US Dollars, so we left it in the wallet. Due to external factors, the token went from a market cap of ~$20k to over $150M. Our position fluctuated between $500k and $1M in valuation. I had several messages asking if what we were going to do, and I responded to a few that we were figuring it out. The next 48 hours were a whirlwind of approvals, but I knew two things. We would need to go to a DEX (a first for our mission) and that we would need to avoid hurting the community. Leadership understood and gave approval for the approach and we proceeded. Some people may disagree with how we did it, but I believe it to be the best option out of the ones that we had. Over 2 days, we proceeded to exit the position in 12 varying sized tranches. During the entire process, we kept an eye on liquidity of the token and did our best to ensure it never dropped below $3.5M and that the Net Buy pressure didn't exceed $75k. We exited the position with over 290 ETH valued at ~$676k. Thank you to the ethereum:0xf280b16ef293d8e534e370794ef26bf312694126 community that came together on this asset. These monies will go a long way in support of the life saving mission of St. Jude. Disclaimer: Discussion of a token is not an endorsement of the token, do your own research. Opinions expressed are solely my own and do not express the views or opinions of my employer. For media outlets, please reach out directly.
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Sabastian Karyadi
Sabastian Karyadi@Sabamen8·
Saya tidak bisa coding. Saya restaurateur yang belajar membangun produk AI dengan bantuan AI agent. Project terbaru saya: QSTrades qstrades.io AI trading signals untuk sesi Asia & New York. Instrumen yang dianalisis:     •    Emas / Gold     •    Minyak / Crude Oil     •    Tembaga / Copper     •    Nasdaq / saham teknologi AS     •    ES / S&P 500 — saham AS Channel gratis: t.me/QSTradesfree Yang bikin ini mungkin karena AI assistant saya yang berjalan di OpenClaw. AI bantu riset GitHub repo, susun arsitektur, bangun website, integrasi API, debug sistem, dan iterasi produk. Stack / GitHub yang kami pakai: TradingView API github.com/Mathieu2301/Tr… Kronos financial foundation model github.com/shiyu-coder/Kr… HMM / Hidden Markov Model github.com/hmmlearn/hmmle… Databento API / Python client github.com/databento/data… Convex backend real-time github.com/get-convex/con… pandas-ta-classic technical indicators github.com/xgboosted/pand… Ini kekuatan OpenClaw menurut saya: Orang yang tidak bisa coding bisa bergerak dari ide → produk live dengan AI agent yang bantu eksekusi setiap hari. Riset. Coding. Debug. Integrasi. Iterasi. AI agent bukan sekadar teman ngobrol. AI agent = leverage. Bukan nasihat finansial. QSTrades dibuat untuk edukasi, transparansi, dan sistem trading yang lebih mekanis — bukan tebak-tebakan atau emosi.
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Binance
Binance@binance·
no word begins with A and ends with A
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Elon Musk
Elon Musk@elonmusk·
Beautiful machines in space
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ISM ☀️
ISM ☀️@ism_sol·
lu pada kadang kena rate limit kan kalo butuh data dan indicator realtime suatu asset gua nemu nih Github repo tradingview yg bisa lu colok ke ai agent lu 🫵🏻 gua taro ya di komen enaknya tuh : > tanpa api key > bisa lu bikin scan tiap 1 menit sekali > dapet data saham indo, saham us, crypto ya intinya semua ticker yg ada di trading view > gaperlu takut rate limit > open source 100% intinya kalo lu bikin mau bikin ai agent enak pake ini.
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Alter Ego
Alter Ego@AlterEgo_eth·
If you want to build on Polymarket, start by getting to know their API There are three of them, and each is responsible for its own task Without this basic understanding, any tool or bot would be built on a whim 1. Gamma API - Markets and Discovery This is your gateway to the data. Through it, you can retrieve a list of all markets and events, filter by category, and search for specific markets. This is where most tools pull their metadata - market names, descriptions, tags, and status. It works without authentication. 2. CLOB API - Prices and Order Book Everything related to live trading. Current prices, historical data, spreads, and a real-time order book. If you’re building a bot that trades or analyzes price movements, this is where you’ll spend most of your time. Orders are also placed and executed through this interface. 3. Data API - Positions, Trades, and Analytics Everything related to a specific wallet and trading history. A user’s current positions, closed positions, trade history, total open interest, and the market’s top holders. This API forms the foundation of any wallet tracker or analytical tool. Three APIs - three layers of data: discovery, trading, and analytics. If you understand this, you understand how Polymarket works under the hood.
Alter Ego tweet mediaAlter Ego tweet media
Alter Ego@AlterEgo_eth

How to make $5,000-15,000 building simple tools for Polymarket Polymarket processes billions of dollars a month, and there are still almost no decent tools for traders Only 5% of Polymarket's total volume comes from the ecosystem - meaning 95% of liquidity is still untapped This is a classic indie hacker opportunity: you take one specific trader pain, vibe code a simple tool that solves it in a few days, and sell it as a subscription No venture capital, no team, no investors What you can build right now: > Telegram bot with alerts when a market probability shifts fast > Wallet tracker with clean analytics on traders > Real-time portfolio monitoring dashboard > Market screener with filters by volume, probability, and movement Any of these can be built with vibe coding in a few days How to find your first users: They're already out there - on Twitter, in the Polymarket Discord, on Reddit Show up, show what you built, give free access to the first 20 people, collect feedback Traders who are making money on Polymarket will happily pay for tools that give them edge or save them time How to monetize: $15-30/month subscription. Niche SaaS tools consistently reach $5-15K with a few hundred paying users. You can also sell the business on Acquire - niche SaaS exits at 2-4x annual revenue. The market is growing. The tools don't exist. The window is open

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PrinceOfRed
PrinceOfRed@Kurumichan987·
daripada ga kesentuh2, gw juga lagi sibuk banget di kerjaan, gw opensource aja deh bot quantitative trade gw github.com/hirazawa-yui99… silahkan dibaca2 di bagian readme nya untuk fitur sama cara pakenya gimana barangkali ada yang mau ngembangin ke market lain entah dlmm/micin/delta neutral trade, mau ngefork, atau mau ngecommit something buat di merge, silahkan banget monggo bangettt hasil ngevibecoding pas desember 2025-januari 2026, pas ngabisin cuti karena mau hangus dan mau pindah kerjaan ke exchange dari OTA Startup kalo mau nanya2 bisa dm gw di x atau di discord @nazhierrijalana
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🔸Vizhuan🔸
🔸Vizhuan🔸@Vizhuan·
Kemungkinan, market akan terbang dalam kurun waktu 0-18 bulan kedepan. Let me explain my thesis, 𝙏𝙃𝙀𝙎𝙄𝙎: 𝙋𝙐𝙈𝙋 𝘽𝙀𝙁𝙊𝙍𝙀 𝙏𝙃𝙀 𝘽𝙐𝙍𝙎𝙏 🔶 Pertama, 𝗮𝘁𝗮𝘀 𝗱𝗮𝘀𝗮𝗿 𝗶𝗱𝗲𝗮 𝗮𝗽𝗮 𝘁𝗵𝗲𝘀𝗶𝘀 𝗶𝗻𝗶 𝗱𝗶𝗯𝗮𝗻𝗴𝘂𝗻? Thesis ini dibangun dengan idea sederhana: adanya 𝗽𝗿𝗼𝗯𝗮𝗯𝗶𝗹𝗶𝘁𝗮𝘀 𝗽𝘂𝗺𝗽 𝘀𝗲𝗯𝗲𝗹𝘂𝗺 𝘁𝗲𝗿𝗷𝗮𝗱𝗶𝗻𝘆𝗮 𝗯𝘂𝗯𝗯𝗹𝗲 & 𝗿𝗲𝘀𝗲𝘀𝗶. Historically, 18 bulan sebelum bubble, US Stock market ngasih annualized return sebesar 5% (Fidelity, 2025). Bahkan, data dari J.P. Morgan pun menunjukkan bahwa 0 hingga 13 bulan sebelum bubble market memberikan return yang cukup kuat. Contoh, sebelum dot-com bubble tahun 2000, S&P 500 ngasih return sebesar 39% untuk 2 tahun sebelumnya dan 19% untuk 1 tahun sebelumnya (J.P. Morgan, 2019). Saat ini, US stock market ada di fase 𝗟𝗮𝘁𝗲-𝗖𝘆𝗰𝗹𝗲, dimana: 🔸𝗩𝗮𝗹𝘂𝗮𝘀𝗶 𝘀𝗮𝗻𝗴𝗮𝘁 𝗺𝗮𝗵𝗮𝗹. Contoh, Forward P/E S&P 500 ~19,9x, diatas average 10 tahun. Implikasinya adalah market sudah tidak memiliki banyak ruang untuk naik sehingga butuh narasi untuk pump. 🔸𝗣𝗿𝗼𝗳𝗶𝘁 𝗔𝗜 & 𝗟𝗶𝗾𝘂𝗶𝗱𝗶𝘁𝘆 𝗰𝗼𝗻𝗰𝗲𝘁𝗿𝗮𝘁𝗲𝗱 di leading companies seperti Magnificent 7. Contoh, earnings growth S&P 500 disumbang ~27%nya hanya oleh Magnificent 7, sisanya hanya menyumbang sebesar 9.8%. Implikasinya adalah market sangat rapuh karena terlalu bergantung pada narasi AI dan segelintir leading companies. 🔸𝗘𝗸𝗼𝗻𝗼𝗺𝗶 𝗨𝗦 𝘆𝗮𝗻𝗴 𝗹𝗲𝗺𝗮𝗵 𝗻𝗮𝗺𝘂𝗻 𝗯𝗲𝗹𝘂𝗺 𝗽𝗲𝗰𝗮𝗵. GDP melambat, payroll yang lemah, unemployment di angka 4.4%, LEI (leading economic indicator) masih turun, namun claims masih relatif oke di angka 210 ribu. Implikasinya adalah market masih punya "nafas" untuk pump. 🔶 Lalu, 𝗸𝗮𝗽𝗮𝗻 𝘁𝗲𝗿𝗷𝗮𝗱𝗶𝗻𝘆𝗮 𝗿𝗲𝘀𝗲𝘀𝗶? Jawabannya: Gatau. Gw pribadi punya acuan personal kapan resesi akan terjadi. Probabilitasnya: 1. 6-12 bulan kedepan: 25%-35% 2. 2027-2028: 40%-50% 3. 2030: 60%-70% Untuk 12 bulan kedepan, gw pakai acuan dari New York FED yield curve & DSGE model: 🔸 Yield curve bilang kalau 12 bulan kedepan kemungkinan resesinya sebesar ~21% 🔸DSGE model bilang kalau resesinya sebesar ~36% Untuk 2027-2028 & 2030, tinggal diperbesar aja probabilitasnya. Semakin panjang periodenya maka besar kemungkinan semakin buruk data ekonomi yang dihasilkan. 🔶 Jika thesis ini berjalan dengan baik, 𝗯𝗮𝗴𝗮𝗶𝗺𝗮𝗻𝗮 𝗰𝗮𝗿𝗮𝗻𝘆𝗮 𝘁𝗮𝘂 𝗺𝗮𝗿𝗸𝗲𝘁 𝗮𝗸𝗮𝗻 𝗽𝗲𝗰𝗮𝗵? Ada beberapa tandanya: 🔸𝗟𝗮𝗯𝗼𝗿 𝗺𝗮𝗿𝗸𝗲𝘁 𝗯𝗲𝘁𝘂𝗹-𝗯𝗲𝘁𝘂𝗹 𝗽𝗲𝗰𝗮𝗵. Mayoritas data ekonomi betul-betul jelek (unemployment, initial jobless claims, JOLTS, dll). 🔸𝗘𝗮𝗿𝗻𝗶𝗻𝗴𝘀 𝗺𝗲𝗻𝗴𝗲𝗰𝗲𝘄𝗮𝗸𝗮𝗻 𝗱𝗮𝗿𝗶 𝗔𝗜 𝗹𝗲𝗮𝗱𝗲𝗿𝘀 🔸𝗖𝗿𝗲𝗱𝗶𝘁 𝘀𝗽𝗿𝗲𝗮𝗱𝘀 𝗺𝗲𝗹𝗲𝗯𝗮𝗿. Private credit, High-yield spreads, jika mayoritas credit menunjukkan adanya stress tinggi, ini tanda besar bahwa market sudah pada titik panasnya. (Contoh: The Great Recession 2008) 🔶 𝗜𝗿𝗮𝗻 𝗢𝗶𝗹 𝗦𝗵𝗼𝗰𝗸 Iran oil shock yang terjadi akhir-akhir ini juga berpengaruh dalam memperkuat thesis ini. Historically, setelah terjadinya Iran oil shock tahun 1979 dan oil shock 1990, S&P 500 mengalami kenaikan sebelum burst resesi tahun 1980-1981 (The Fed hawkish dikarenakan inflasi sudah tinggi sebelum Iran Oil Shock terjadi di angka >11%) lalu melanjutkan bullrunnya hingga tahun 2000 (Pada Oil Shock tahun 1990, The Fed dovish, tidak menaikkan suku bunga). 🔶 Lalu, 𝗮𝗽𝗮 𝗶𝗺𝗽𝗹𝗶𝗸𝗮𝘀𝗶𝗻𝘆𝗮 𝘂𝗻𝘁𝘂𝗸 𝗺𝗮𝗿𝗸𝗲𝘁 𝗰𝗿𝘆𝗽𝘁𝗼? Jelas, anchor utama dari market crypto masihlah US stock market. Jika S&P 500 rally, besar kemungkinan market crypto akan mendapat fase rallynya Begitupun sebaliknya. Apakah akan recovery hingga ATH? Saya gatau. Namun, terlepas dari apakah akan balik ATH atau tidak, jika memang ada rally, mengapa tidak kita sambut dengan baik? Rally tetaplah rally, jauh lebih baik daripada terus menerus kapitulasi dibawah. 🔶 𝗣𝗲𝗻𝘂𝘁𝘂𝗽 So, seperti itulah penjelasan singkat thesis gw. Jadiin referensi, bukan kepastian. 𝗦𝗲𝗺𝗼𝗴𝗮 𝗯𝗲𝗿𝗺𝗮𝗻𝗳𝗮𝗮𝘁.
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Mickeyy Moss
Mickeyy Moss@calledkeyy·
Prompt untuk AI Agent : You are a professional crypto trading signal AI specialized in BTCUSDT perpetual futures (BTCUSDT.P). Your task is to analyze the market and generate high-probability trade signals using the following strategy rules. MARKET: BTCUSDT Perpetual Futures INDICATORS: 1. RSI (Relative Strength Index) period 14 2. EMA 9 3. EMA 21 TRADING LOGIC: LONG SETUP: 1. RSI must be in Oversold zone (RSI ≤ 30) or exiting oversold. 2. EMA 9 crosses ABOVE EMA 21 (bullish crossover). 3. Price must close above both EMA 9 and EMA 21 after the crossover. 4. Momentum confirmation: RSI moving upward. SHORT SETUP: 1. RSI must be in Overbought zone (RSI ≥ 70) or exiting overbought. 2. EMA 9 crosses BELOW EMA 21 (bearish crossover). 3. Price must close below both EMA 9 and EMA 21 after the crossover. 4. Momentum confirmation: RSI moving downward. TIMEFRAME: Primary: 5m or 15m SIGNAL FILTER: - Avoid signals during extremely low volatility. - Ignore signals if EMA crossover happened more than 3 candles ago. - Only produce signals when both RSI and EMA conditions align. RISK MANAGEMENT: Risk per trade: 1–2% Stop Loss: - Long: below recent swing low - Short: above recent swing high Take Profit: - TP1: Risk:Reward 1:1 - TP2: Risk:Reward 1:2 - TP3: Risk:Reward 1:3 OUTPUT FORMAT: Signal Type: LONG / SHORT Entry Price: (current market price) Stop Loss: (price) Take Profit 1: Take Profit 2: Take Profit 3: Indicators Status: RSI Value: EMA9: EMA21: Trend Bias: Signal Confidence: (Low / Medium / High) Reason for Signal: (Explain briefly why the signal is valid according to the rules) If conditions are not met, respond with: "NO TRADE SETUP"
Mickeyy Moss tweet media
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