SLERF发币的戏剧性一幕:创始人误操作销毁LP和空投代币,投资者却反手拉盘杀疯了!

PanewsPubblicato 2024-03-19Pubblicato ultima volta 2024-03-19

Introduzione

代币销毁事故却成为拉盘燃料,SLERF代币被“销毁通缩”后出现暴涨。

作者:Nancy,PANews
上周末,Solana上的Meme项目Bome暴涨引爆了“打款预售”模式,其中名为“SLERF”的Meme就募集超5万枚代币SOL,价值超1千万美元,但SLERF却在今日表示误将募资LP Token及空投代币销毁。谁能想到,代币销毁事故却成为拉盘燃料,SLERF代币被“销毁通缩”后出现暴涨。
3月18日下午,SLERF创始人@Slerfsol在X平台表示,其在添加完初始流动性后,因其操作失误导致项目募资的LP Token和被用于空投的代币被全部销毁。同时,由于他的代币铸造权限已经被移除,因此无法采取任何补救措施。
同时,他还透露,目前SLERF最大问题的是没有足额资金向预售用户退款。“这不是开玩笑,我真的搞砸了,非常抱歉……现在最大的问题是,我没有1000万美元来向预售用户退款,我已经准备了3天,却在终点线上失误了。对于那些参与预售的人,我很抱歉,我也对不起我的团队,他们在过去3天帮助了我。目前我看不到修复的方法,甚至不认为这是可能的。”
尽管因项目方操作失误导致参与预售的投资者惨遭归零,但却引起市场FOMO,有社区成员认为,这是史上最大的公平发射,大户和项目方的币全部上缴,大家都站在同一起跑线上。

SLERF发币的戏剧性一幕:创始人误操作销毁LP和空投代币,投资者却反手拉盘杀疯了!


受此影响,SLERF代币出现暴涨,价格在2小时内从0.02美元快速上涨1.2美元,涨幅达60倍,4小时内链上交易量超过11亿美元。各个交易所也迅速行动,HTX、MEXC、Bitget和XT.COM均在代币上线2小时左右宣布将上线SLERF。

SLERF发币的戏剧性一幕:创始人误操作销毁LP和空投代币,投资者却反手拉盘杀疯了!


而根据此前SLERF的募资信息,其中50%用于预售,剩余全部用于LP池,按照其最高1.99美元的价格来算,被销毁的代币价值最高超9.9亿美元。
在这股热潮中,不少巨鲸正在买入且获得数百万美元利润。 比如,据Lookonchain监测,一个交易者通过在12分钟内交易$SLERF赚取了约302万美元。该交易者在交易开盘后立即以9894枚SOL(约198万美元)购入了6974万枚$SLERF,然后在12分钟内以25001枚SOL(约500万美元)的价格卖出,从而在短短12分钟内赚取了15107枚SOL(约302万美元);另一持有158,786枚SOL (约合3200万美元)的巨鲸则花费了3,024枚SOL (约合60.6万美元) 以0.35美元均价购买了170万枚SLERF;另据0xScope监测,一巨鲸刚刚花费19752枚SOL (约合400万美元) 在2笔交易中购买了340万枚SLERF,平均价格为1.19美元。
不过,StarkNet联创Tobby Kitty表示,“我不太了解最新情况,但Raydium合约可以通过多签进行升级。如果你是把LP代币直接发送到了那里,Raydium可以将它们转回来。”但随后X用户ghazzog回复表示:“SLERF的销毁走的是Sol Incenator的销毁程序,而非Raydium合约。”对此Tobby Kitty回复称:“那就没办法了。”受此言论影响,SLERF曾短时跌破0.6美元后反弹。接下来SLERF究竟会如何发展,PANews还将持续关注。
尽管SLERF创始人的“误操作”的真实性尚未可知,但这种行为艺术或将引来大批模仿者。PANews提醒,MEME资产有巨大波动性,投资者请谨慎操作,DYOR。

Letture associate

Report Interpretation: J.P. Morgan Details Micron's Pre-Earnings Sentiment, Current Hardware Sector Dynamics

Morgan Stanley analyst Joshua Meyers' report (June 21, 2026) highlights key trends in the hardware and semiconductor sector ahead of Micron's earnings. The core takeaways are: 1. **Micron & Memory:** Memory remains a high-conviction long theme, driven by strong AI demand and rising ASPs. However, investor focus is shifting to the sustainability of Micron's >80% gross margins and the specifics of potential new long-term supply agreements (SCAs). 2. **Hardware Supply Chain:** AI-related demand for servers, networking, and storage remains robust, but company performance is diverging. Celestica (CLS) shows improved margin confidence, Western Digital and Seagate benefit from pricing, Fabrinet (FN) sees predictable AI optics growth, and Teradyne (TER) anticipates a new Google customer. 3. **AI Capex & WFE Forecasts:** JPMorgan increased its Wafer Fab Equipment (WFE) market growth forecasts to 28% in 2026 and 29% in 2027. AI infrastructure financing is evolving, with higher project-level debt reducing constraints on capex expansion. The report signals that while the AI-driven hardware cycle is strong, the market is entering a phase focused on execution verification (e.g., Micron's SCA details, Fabrinet's ramp with Amazon) and valuation sustainability. Key near-term signals include Micron's guidance, Arista Networks' outlook, and the pace of demand normalization post potential tariff-related pull-ins.

marsbit4 h fa

Report Interpretation: J.P. Morgan Details Micron's Pre-Earnings Sentiment, Current Hardware Sector Dynamics

marsbit4 h fa

Research Report Analysis: The Fed's New Chair's Debut – New Leader, But Same Script?

Report Analysis: Federal Reserve's New Chair Debut – A New Captain, But the Same Script? Morgan Stanley's chief global economist Seth B. Carpenter analyzes the first FOMC meeting under new Fed Chair Kevin Warsh in a June 21 report. Warsh deliberately avoided providing forward guidance on interest rates, aligning with his philosophy. However, market expectations for a rate hike this year were reinforced. Key signals lie elsewhere: inflation may fall more than expected, and quantitative tightening (QT) could be more aggressive than anticipated. The FOMC's "dot plot" suggests only one rate hike in 2026. Carpenter argues that if inflation undershoots forecasts, the logic for even a single hike weakens, especially as projections indicate potential rate cuts in 2027. On QT, Warsh's stance is clear. Carpenter notes that measures like halving the Treasury's account balance could shrink the Fed's balance sheet by around $500 billion with minimal market impact. Combined with adjustments to reserve interest and liquidity rules, the ultimate QT scale may exceed expectations, though its market effect might be less disruptive unless the Fed actively sells Mortgage-Backed Securities (MBS). While Warsh initiated a review of the Fed's policy framework, the 2% inflation target remains intact for now. The report concludes that the market may be overestimating the significance of reduced forward guidance and the near-term rate hike risk, while potentially underestimating the scope and manageable nature of the coming balance sheet reduction. The key debates will hinge on upcoming core PCE data, the specifics of the QT path, and the framework review's findings.

marsbit5 h fa

Research Report Analysis: The Fed's New Chair's Debut – New Leader, But Same Script?

marsbit5 h fa

Critical Game Week: BTC Retracement Confirmation vs. HYPE Support Battle | Guest Analysis

This weekly analysis outlines a critical juncture for BTC and HYPE markets, focusing on key price level confirmations. **BTC Analysis:** BTC is at a pivotal point after a five-wave rally from the June 5th low of $59,100. The price has broken below a short-term rising channel's lower boundary, with the current move seen as a pullback to test this breakdown. Failure to reclaim this level could lead to a retest of the $59,000-$60,000 support zone. The core scenario hinges on this channel retest outcome. * **Key Levels:** Resistance at $64,500-$65,000 (channel boundary) and $69,500-$70,500. Support at $59,000-$60,000 and $55,000. * **Strategy:** A core bearish stance is maintained (20% short from last week), with short-term plans for tactical trades. Three detailed contingency plans (A/B/C) are provided for short positions on resistance tests or breakdowns, emphasizing strict stop-loss discipline. **HYPE Analysis:** HYPE shows strong momentum but is currently in a corrective phase after hitting a new high of $76.94. The price is retesting the crucial $64-$66 support area. * **Key Levels:** Resistance near $77 and $80-$82. Support at $64-$66 and $52-$54. * **Strategy:** The short-term approach is "buy on dips, avoid chasing rallies." A long position is considered only if clear stabilization signals appear at the $64-$66 or deeper $52-$54 support zones, with tight risk controls. **General Risk Management:** A standardized trailing stop-loss protocol is emphasized: set initial stop, breakeven at +1% profit, then trail stops upward to lock in gains. *Disclaimer: All analysis is presented as a personal trading framework, not investment advice. Market conditions are complex and require dynamic adjustment.*

marsbit5 h fa

Critical Game Week: BTC Retracement Confirmation vs. HYPE Support Battle | Guest Analysis

marsbit5 h fa

Trading

Spot
Futures
活动图片