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Brothers, last night’s liquidation slaughterhouse, don’t be sad, everyone is the same.
To summarize why the crash was so severe, firstly, the Federal Reserve changed its stance. The yellow-haired nominee, a recognized hawkish heavyweight, was appointed as a candidate. After taking office, this person might pretend to cut rates to appease, while actually withdrawing large amounts of dollars from the market (balance sheet reduction). With less money, assets like gold and Bitcoin, which rely on liquidity, are naturally the first to be hammered.
All the money in the world is in “safe haven”. It’s not just an American issue; global funds now only want to hide in the safest places. At such times, less liquid assets like silver and altcoins fall the hardest and fastest.
Finally, signs of easing in US-Iran relations have appeared, which has taken away an important support for some assets that previously rose due to war and safe-haven sentiment.
As for how next week will go: Bitcoin at 72000 and Ethereum at 2130 are very likely to be tested again, and may even temporarily break below. Because market panic and sell-offs have not yet shown clear signs of ending. Don’t go all-in during the peak panic to buy the dip, it’s very easy to get repeatedly “cut”.
Now it’s a contest of who can better control their hands and who has more patience. Wait until the market crashes into a pit on its own and stabilizes in that pit, then talk about opportunities. #我的周末交易计划