How to determine whether the entry is from the development team or retail investors? Looking at this trading method, it seems there is always a set of money-making tricks. What exactly is the logic behind the different roles' ways of making profits in the market? This question is worth pondering.

View Original
This page may contain third-party content, which is provided for information purposes only (not representations/warranties) and should not be considered as an endorsement of its views by Gate, nor as financial or professional advice. See Disclaimer for details.
  • Reward
  • 5
  • Repost
  • Share
Comment
0/400
LiquidatedThricevip
· 01-11 12:58
That's enough, stop pondering. Basically, it's just information asymmetry—whales know something you don't.
View OriginalReply0
DAOdreamervip
· 01-11 12:50
Alright, basically it's just about who can cut whom. If the team has insider information, retail investors are just the leeks.
View OriginalReply0
Anon32942vip
· 01-11 12:49
Wow, this is the difference between insiders and retail investors. They have a script, and we're just bagholders.
View OriginalReply0
MidnightMEVeatervip
· 01-11 12:37
Seeing this question at 3 AM just made me laugh—it's the difference between the team and retail investors... One holds the contract code, the other holds the phone. Can they be the same?
View OriginalReply0
rugpull_survivorvip
· 01-11 12:33
To be honest, this set of tactics is nothing more than information asymmetry and chip advantage. The team knows early, retail investors realize it late—an eternal trick.
View OriginalReply0
  • Pin

Trade Crypto Anywhere Anytime
qrCode
Scan to download Gate App
Community
  • 简体中文
  • English
  • Tiếng Việt
  • 繁體中文
  • Español
  • Русский
  • Français (Afrique)
  • Português (Portugal)
  • Bahasa Indonesia
  • 日本語
  • بالعربية
  • Українська
  • Português (Brasil)