From early projects to later ones like MemeMax_Fi, I have been tracking those with genuine ideas. Recently, I opened a multi-level long position with a target to hold until the end of January, mainly watching the buyback rhythm after launch. It's not just about talking; I also have real money on hand. More importantly, I want to seize opportunities in high-leverage gains.



Why am I interested in MemeMax_Fi? It might seem counterintuitive—not because it "looks like an exchange," but rather because it doesn't. This contrast itself indicates a differentiated approach by the project team. Are there friends also paying attention to this track? Feel free to share and exchange ideas.
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RugpullAlertOfficervip
· 8h ago
1. The buyback pace is the real key; just shouting slogans is pointless. 2. M-level longs will hold until the end of January? That's quite bold. I'll wait and see. 3. The contrarian design is indeed interesting, but it depends on the execution later on. 4. Only real money invested is reliable; don't just talk about it on paper. 5. The differentiated gameplay sounds good, but I'm worried it might be another harvest trap. 6. Communication is fine, but let's see how it performs after launch first. 7. If this buyback rhythm stabilizes, it could be promising. 8. Isn't it an advantage that it's not like an exchange? That logic is quite interesting. 9. Not many projects with ideas can survive past January. Want to take a gamble? 10. I'm also paying attention, but I'm still waiting for the first batch of data to come out.
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LightningHarvestervip
· 8h ago
The buyback pace really depends, but it's quite bold for M-level projects to hold out until the end of January. Whether it can last until the end of January is uncertain; let's first observe the buyback actions. The contrast is indeed interesting; projects that don't follow the usual path are worth paying attention to. The phrase "having real gold and silver in hand" hits hard; armchair strategizing is the least interesting. I'm optimistic about the diff gameplay, just worried that subsequent execution might fall short. I want to understand how the rhythm will be after launch; is there any data?
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GasFeeCriervip
· 8h ago
The pace of buybacks depends on how genuine it is; don't fall for the same old empty promises. --- Holding M-level longs until January? Impressive, I’m still on the sidelines watching. --- Contrary to intuition, this part actually has some substance. Compared to those with obvious labels, it’s more worth digging into. --- Basically, it’s a betting plan; as long as you have the means, you’re good. --- Only those who truly invest real money dare to say this. Thumbs up. --- Everyone in this field is now looking for differentiation; it all depends on who can survive until the end. --- I want to chat, but let’s wait until the data at the end of January before making a conclusion.
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BearMarketMonkvip
· 8h ago
Alright, the M-level long positions will hold until the end of January... it all depends on whether the buyback can be effective, that's the real story. If the buyback pace falters, then even the best contrast setup is useless. Not like an exchange, but more like an exchange? Ha, I've heard that tune several times before, let's see if the market can break out first. I'm convinced when real money is投入进去, better than those who boast every day. A differentiated approach is good, but I'm worried that in the end it will still be the same old routine of cutting leeks. This track is indeed interesting, but you need to carefully assess the risk factor before entering.
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WalletManagervip
· 8h ago
Hmm... The M-level long position will hold until the end of January. The key still depends on whether the contract has been audited; otherwise, high leverage gains could mean high leverage losses. Have you secured your private keys?
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