Bitget App
Trade smarter
Buy cryptoMarketsTradeFuturesStocksEarnInstitutionAI & More
Falcon Finance: FF token distribution will introduce a 45-day claim cooldown period

Falcon Finance: FF token distribution will introduce a 45-day claim cooldown period

ForesightNewsForesightNews2026/01/05 15:23
Show original

Foresight News reported that Falcon Finance has announced the introduction of a 45-day claim cooldown period for the FF token distribution. This cooldown period is designed to promote responsible token allocation, support operational stability, enable smoother claim processing, and align with a tokenomics model consistent with long-term usage. It is important to note that this update does not change users’ token allocations or vesting schedules, including any past distributions. The cooldown period only affects the execution time of claims and does not involve ownership or the total amount vested.

0
0

Disclaimer: The content of this article solely reflects the author's opinion and does not represent the platform in any capacity. This article is not intended to serve as a reference for making investment decisions.

Understand the market, then trade.
Bitget offers one-stop trading for cryptocurrencies, stocks, and gold.
Trade now!

You may also like

JPMorgan lowers PepsiCo's target price to $137

JPMorgan has lowered the target price for PepsiCo from $138 to $137.

智通财经•2026/10/09 03:16

Goldman Sachs: Remain optimistic about the outlook of the refining industry; Valero Energy (VLO.US), Marathon Petroleum (MPC.US), HF Sinclair (DINO.US) are top picks

According to Zhihu Finance APP, ahead of the upcoming Q3 2026 earnings season for the US refining industry, Goldman Sachs has updated its earnings outlook for US refiners. Before the results release, Goldman Sachs, based on discussions with investors, is focusing on three key points of contention: (a) the outlook for mid-cycle profit margins after a tightening of global refining fundamentals and supply disruptions; (b) the price differential between light and heavy crude oil as supply from Canada and Venezuela increases; (c) capital allocation priorities, specifically how to balance maintaining a robust balance sheet, advancing internal growth projects, and returning value to shareholders.

智通财经•2026/10/09 03:11

US Crude Oil: Range-bound volatility, buy on dips, sell on rallies

(1) Analysis: Shipping disruptions in the Strait of Hormuz and the shutdown of approximately 1.3 million barrels per day of crude oil production in the Gulf of Mexico are supporting a supply risk premium; however, signals of dialogue between the US and Iran are limiting further upside in oil prices, which are currently still in a low-level consolidation phase, mainly awaiting a stress test. (2) Key Focus: Geopolitical situation, inventory data, US dollar index, global crude oil supply, and OPEC+ policy. (3) Resistance: 91.00, 91.50, 92.00 (4) Support: 90.00, 89.00, 88.00

智通财经•2026/10/09 02:36