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ETH sales, a massive note redemption, and thin carry make this zero line feel like a warning shot.
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ETH sales, a massive note redemption, and thin carry make this zero line feel like a warning shot.
Liam 'Akiba' Wright 6 min read
The US dollar's vulnerability amid soaring debt raises Bitcoin’s appeal as investors reassess traditional safe havens.
If real yields rise or liquidity tightens, Bitcoin behaves like a sponge, instead of a store of value, until regimes change again.
Tether is betting that the next risk-off rush will run through USDT, XAU₮, and a familiar retail gold checkout.
Bitcoin must reclaim $71,500 before Monday to confirm a local bottom after softening inflation data in CPI release.
Bitcoin’s bottom won’t be emotional this time as one boring metric decides the timeframe.
Bitcoin watches 3.52% 2-year yield as $307B stablecoin cash waits and the next CPI date decides risk.
Bitcoin's six-figure target meets resistance from US economic strain, testing crypto's resilience in a volatile market.
The real risk is a crypto-only flush that resets buyers while the wider economy grinds on.
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