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strategybtcpurchase

sreenathkatasani
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Pozitīvs
Tulkot
#strategybtcpurchase Strategy's Bitcoin Purchase Strategy: A Corporate Treasury Revolution Strategy (formerly MicroStrategy, ticker: MSTR), led by Michael Saylor, has become the world's largest corporate Bitcoin holder with approximately 673,783 BTC worth around $63 billion—over 3% of Bitcoin's total supply. The Strategy The approach is simple: continuously raise capital and immediately deploy it into Bitcoin, holding forever. In early January 2026, Strategy purchased 1,287 BTC for $116 million at an average price of $90,391 per coin. How They Fund It Strategy uses multiple capital sources to buy Bitcoin: Stock sales: Recently sold nearly 2 million MSTR shares, raising $312 million, with $11.4 billion capacity remaining. Convertible debt: Zero to low-interest bonds (0-0.75%) that convert to equity Preferred stock and traditional debt Operating cash flow from legacy software business The Feedback Loop Strategy raises money to buy Bitcoin, which helps Bitcoin's price rise, causing MSTR stock to increase, enabling even more capital raises for additional Bitcoin purchases. Since August 2020, MSTR stock has surged 2,200%—far outpacing Bitcoin's 630% gain. Why Investors Pay a Premium MSTR trades at over 2x its Bitcoin holdings' value because it offers: Institutional accessibility (many can't hold crypto directly) Leveraged Bitcoin exposure through debt Regulatory clarity as a U.S. public company Potential tax advantages The Risks Extreme volatility: 86-90% drawdown during 2021-2023 crypto winter Shareholder dilution from continuous stock issuance Rising costs: As Bitcoin's price increases, accumulation becomes more expensive Debt obligations during bear markets One-dimensional exposure to Bitcoin's performance The Bottom Line {spot}(BTCUSDT) The strategy delivers amplified returns during bull markets but comes with substantial volatility. For investors seeking magnified Bitcoin exposure with institutional structure, MSTR offers a unique vehicle—just remember the leverage cuts both ways.
#strategybtcpurchase

Strategy's Bitcoin Purchase Strategy: A Corporate Treasury Revolution

Strategy (formerly MicroStrategy, ticker: MSTR), led by Michael Saylor, has become the world's largest corporate Bitcoin holder with approximately 673,783 BTC worth around $63 billion—over 3% of Bitcoin's total supply.

The Strategy

The approach is simple: continuously raise capital and immediately deploy it into Bitcoin, holding forever. In early January 2026, Strategy purchased 1,287 BTC for $116 million at an average price of $90,391 per coin.

How They Fund It

Strategy uses multiple capital sources to buy Bitcoin:

Stock sales: Recently sold nearly 2 million MSTR shares, raising $312 million, with $11.4 billion capacity remaining.
Convertible debt: Zero to low-interest bonds (0-0.75%) that convert to equity
Preferred stock and traditional debt
Operating cash flow from legacy software business

The Feedback Loop

Strategy raises money to buy Bitcoin, which helps Bitcoin's price rise, causing MSTR stock to increase, enabling even more capital raises for additional Bitcoin purchases. Since August 2020, MSTR stock has surged 2,200%—far outpacing Bitcoin's 630% gain.

Why Investors Pay a Premium

MSTR trades at over 2x its Bitcoin holdings' value because it offers:

Institutional accessibility (many can't hold crypto directly)
Leveraged Bitcoin exposure through debt
Regulatory clarity as a U.S. public company
Potential tax advantages

The Risks

Extreme volatility: 86-90% drawdown during 2021-2023 crypto winter
Shareholder dilution from continuous stock issuance
Rising costs: As Bitcoin's price increases, accumulation becomes more expensive
Debt obligations during bear markets
One-dimensional exposure to Bitcoin's performance

The Bottom Line

The strategy delivers amplified returns during bull markets but comes with substantial volatility. For investors seeking magnified Bitcoin exposure with institutional structure, MSTR offers a unique vehicle—just remember the leverage cuts both ways.
Tulkot
#strategybtcpurchase STRATEGY GIỮ ĐÚNG LỜI: MUA MẠNH BITCOIN TUẦN NÀY Strategy tiếp tục thực hiện chiến lược tích lũy dài hạn khi mua thêm 13.627 BTC, trị giá khoảng 1,25 tỷ USD, với giá bình quân ~91.519 USD/BTC. Sau giao dịch này, tổng lượng nắm giữ của công ty đạt 687.410 BTC, tương đương ~51,8 tỷ USD chi phí vốn, giá mua trung bình ~75.353 USD/BTC. Điểm đáng chú ý không nằm ở quy mô giao dịch, mà ở thời điểm mua. Strategy không chờ điều chỉnh sâu; họ mua khi thị trường còn tranh cãi, thể hiện niềm tin rằng Bitcoin đang trong giai đoạn tái định giá dài hạn, không phải một nhịp đầu cơ ngắn hạn. Ở góc độ cung–cầu, mỗi đợt mua quy mô lớn như vậy rút thêm nguồn cung lưu thông khỏi thị trường, làm độ khan hiếm tăng lên. Trong khi đó, dòng tiền tổ chức (ETF, ngân hàng, doanh nghiệp) vẫn là trụ cột chính, còn retail chưa quay lại mạnh. Thông điệp của Strategy khá rõ: 👉 Không timing thị trường. Không giao dịch theo cảm xúc. Tích lũy khi niềm tin còn bị nghi ngờ.
#strategybtcpurchase STRATEGY GIỮ ĐÚNG LỜI: MUA MẠNH BITCOIN TUẦN NÀY
Strategy tiếp tục thực hiện chiến lược tích lũy dài hạn khi mua thêm 13.627 BTC, trị giá khoảng 1,25 tỷ USD, với giá bình quân ~91.519 USD/BTC. Sau giao dịch này, tổng lượng nắm giữ của công ty đạt 687.410 BTC, tương đương ~51,8 tỷ USD chi phí vốn, giá mua trung bình ~75.353 USD/BTC.
Điểm đáng chú ý không nằm ở quy mô giao dịch, mà ở thời điểm mua. Strategy không chờ điều chỉnh sâu; họ mua khi thị trường còn tranh cãi, thể hiện niềm tin rằng Bitcoin đang trong giai đoạn tái định giá dài hạn, không phải một nhịp đầu cơ ngắn hạn.
Ở góc độ cung–cầu, mỗi đợt mua quy mô lớn như vậy rút thêm nguồn cung lưu thông khỏi thị trường, làm độ khan hiếm tăng lên. Trong khi đó, dòng tiền tổ chức (ETF, ngân hàng, doanh nghiệp) vẫn là trụ cột chính, còn retail chưa quay lại mạnh.
Thông điệp của Strategy khá rõ:
👉 Không timing thị trường. Không giao dịch theo cảm xúc. Tích lũy khi niềm tin còn bị nghi ngờ.
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Pozitīvs
Tulkot
$SOL {spot}(SOLUSDT) L — Liquidity Sweep & Recovery in Play Price just swept intraday lows, weak hands got flushed, and buyers stepped in fast with a clean reclaim. This bounce was sharp and controlled, signaling absorption, not a breakdown. Market Read: On the 15-min chart, $SOL rolled over from $143 and flushed into $138.7, where liquidity was sitting. That level got instantly bought back, sellers couldn’t hold. Now price is stabilizing around $140 and forming higher lows — a classic liquidity sweep and recovery. Entry Zone: $139.2 – $140.5 Looking for value on pullbacks, not chasing the move. This zone aligns with the sweep low reaction, intraday demand, and base formation. Targets: TP1: $143.5 (prior breakdown area) TP2: $147.0 (range high) TP3: $152.0 (momentum continuation if buyers dominate) Stop Loss: Below $137.8 If price falls here, demand fails and the setup is invalid. Why This Works: Liquidity was taken below $139, panic sellers exited, buyers absorbed aggressively. Holding above $139 with a clean reclaim of $142 sets up a strong continuation to the upper range. I’m focused, patient, and ready. Let’s go — Trade $SOL now! If you want, I can also make an even punchier, high-energy version that reads like a social media alert ready to fire up traders in one scroll. Do you want me to do that? #StrategyBTCPurchase #USNonFarmPayrollReport #ZTCBinanceTGE #USTradeDeficitShrink #USJobsData
$SOL
L — Liquidity Sweep & Recovery in Play

Price just swept intraday lows, weak hands got flushed, and buyers stepped in fast with a clean reclaim. This bounce was sharp and controlled, signaling absorption, not a breakdown.

Market Read:
On the 15-min chart, $SOL rolled over from $143 and flushed into $138.7, where liquidity was sitting. That level got instantly bought back, sellers couldn’t hold. Now price is stabilizing around $140 and forming higher lows — a classic liquidity sweep and recovery.

Entry Zone: $139.2 – $140.5
Looking for value on pullbacks, not chasing the move. This zone aligns with the sweep low reaction, intraday demand, and base formation.

Targets:

TP1: $143.5 (prior breakdown area)

TP2: $147.0 (range high)

TP3: $152.0 (momentum continuation if buyers dominate)

Stop Loss: Below $137.8
If price falls here, demand fails and the setup is invalid.

Why This Works:
Liquidity was taken below $139, panic sellers exited, buyers absorbed aggressively. Holding above $139 with a clean reclaim of $142 sets up a strong continuation to the upper range.

I’m focused, patient, and ready.
Let’s go — Trade $SOL now!

If you want, I can also make an even punchier, high-energy version that reads like a social media alert ready to fire up traders in one scroll. Do you want me to do that?
#StrategyBTCPurchase
#USNonFarmPayrollReport
#ZTCBinanceTGE
#USTradeDeficitShrink
#USJobsData
Tulkot
$SOL Current SOL price ≈ $139.5–$140 USD per coin. CoinMarketCap +1 24-hour trading volume: several billion USD, indicating decent liquidity. CoinMarketCap Market Cap: ~$78–$79 billion USD and ranks around #6 by crypto market cap. recently traded in a sideways range roughly between ~$125 and ~$150, with upside capped by resistance and support defended near ~$125–$130. Price is consolidating around this zone before potential breakout or breakdown. #StrategyBTCPurchase #USJobsData
$SOL Current SOL price ≈ $139.5–$140 USD per coin.
CoinMarketCap +1
24-hour trading volume: several billion USD, indicating decent liquidity.
CoinMarketCap
Market Cap: ~$78–$79 billion USD and ranks around #6 by crypto market cap.

recently traded in a sideways range roughly between ~$125 and ~$150, with upside capped by resistance and support defended near ~$125–$130. Price is consolidating around this zone before potential breakout or breakdown.
#StrategyBTCPurchase #USJobsData
Skatīt oriģinālu
$BTC 📌 $ETH 📌 $SOL Rīt, 13. janvārī, nav parasts dienas datums tirgū. Šeit ir trīs scenāri, ko bālēnas un es uzraugām: 1. Bullish scenārijs (inflācija zema: 2,5% vai mazāk) - Kas notiks: Ja CPI parādās zemēk par paredzēto, tirgus apstiprinās, ka inflācija ir mirusi. - Bālēnu reakcija: Viņi pērk masveidā. Mēs redzēsim Bitcoin mēģinājumus pārvarēt $95 000 barjeru gandrīz nekavējoties, jo tas garantē, ka FED drīz samazinās procentus. Lētā nauda atgriežas tirgū. 2. Konsolidācijas scenārijs (gaidītā inflācija: 2,6% - 2,7%) - Tas ir tas, ko tirgus jau "iedzīvojās" (jau to gaidīja). - Bitcoin cena varētu izdarīt "kustību" (strauji pieaugt un nokrist, lai likvidētu nepacietīgos) un pēc tam palikt horizontāli. Bālēnas turpinātu pakāpeniski uzkrāt bez steigas, gaidot FED sanāksmi mēnesa beigās. 3. Bearish scenārijs (augsta inflācija: 2,8% vai vairāk) - Tas būtu auksts ūdens balts. Tas parādītu, ka inflācija ir pieķēdēta un grūti samazināma. - Viņi pārdotu daļu no riska pozīcijām. Bitcoin varētu meklēt atbalstu pie $88 000 vai pat $85 000. Diskursā mainītos no svētkiem uz maksimālu uzmanību. Ņemot vērā, ka enerģijas cenas ir bijušas stabilas un patēriņš pēc decembra svētkiem nedaudz samazinājies, vislielākā iespējamība ir scenārijs 2, kas tendē uz 1. Es domāju, ka mēs redzēsim datu, kas atvieglotu situāciju, bet patiesā volatilitāte nāks no ziņām par Jeromu Powelī. Ja tirgus sajūt, ka FED ir pakļauta politiskai uzbrukumam un turklāt inflācija nekriš, tieši tad zelta digitālais (Bitcoin) varētu izcili izpausties kā droša vieta. Rīt, 30 minūtes pirms datu publicēšanas (8:30 AM Niujorkas laikā), tirgus būs traks. Nedarīt darījumus šajā brīdī. Gaidi 15 minūtes pēc ziņas, lai redzētu, kur patiesībā plūst nauda. Seko man vairāk ziņām un analīzēm #StrategyBTCPurchase #Noticie #analysis {spot}(SOLUSDT) {spot}(ETHUSDT) {spot}(BTCUSDT)
$BTC 📌 $ETH 📌 $SOL

Rīt, 13. janvārī, nav parasts dienas datums tirgū. Šeit ir trīs scenāri, ko bālēnas un es uzraugām:

1. Bullish scenārijs (inflācija zema: 2,5% vai mazāk)
- Kas notiks: Ja CPI parādās zemēk par paredzēto, tirgus apstiprinās, ka inflācija ir mirusi.
- Bālēnu reakcija: Viņi pērk masveidā. Mēs redzēsim Bitcoin mēģinājumus pārvarēt $95 000 barjeru gandrīz nekavējoties, jo tas garantē, ka FED drīz samazinās procentus. Lētā nauda atgriežas tirgū.

2. Konsolidācijas scenārijs (gaidītā inflācija: 2,6% - 2,7%)
- Tas ir tas, ko tirgus jau "iedzīvojās" (jau to gaidīja).
- Bitcoin cena varētu izdarīt "kustību" (strauji pieaugt un nokrist, lai likvidētu nepacietīgos) un pēc tam palikt horizontāli. Bālēnas turpinātu pakāpeniski uzkrāt bez steigas, gaidot FED sanāksmi mēnesa beigās.

3. Bearish scenārijs (augsta inflācija: 2,8% vai vairāk)
- Tas būtu auksts ūdens balts. Tas parādītu, ka inflācija ir pieķēdēta un grūti samazināma.
- Viņi pārdotu daļu no riska pozīcijām. Bitcoin varētu meklēt atbalstu pie $88 000 vai pat $85 000. Diskursā mainītos no svētkiem uz maksimālu uzmanību.

Ņemot vērā, ka enerģijas cenas ir bijušas stabilas un patēriņš pēc decembra svētkiem nedaudz samazinājies, vislielākā iespējamība ir scenārijs 2, kas tendē uz 1. Es domāju, ka mēs redzēsim datu, kas atvieglotu situāciju, bet patiesā volatilitāte nāks no ziņām par Jeromu Powelī. Ja tirgus sajūt, ka FED ir pakļauta politiskai uzbrukumam un turklāt inflācija nekriš, tieši tad zelta digitālais (Bitcoin) varētu izcili izpausties kā droša vieta.

Rīt, 30 minūtes pirms datu publicēšanas (8:30 AM Niujorkas laikā), tirgus būs traks. Nedarīt darījumus šajā brīdī. Gaidi 15 minūtes pēc ziņas, lai redzētu, kur patiesībā plūst nauda.
Seko man vairāk ziņām un analīzēm
#StrategyBTCPurchase
#Noticie
#analysis
cecitar:
gracias amiga por eso te sigo alondra...
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Pozitīvs
Skatīt oriģinālu
Vitaliks Buterins: Kā privātums un $ZEC Mainīja Kriptovalūtu Pasauli „Bitcoin ir decentralizēts, taču tam nav privātuma.“ Šis viens teikums no Vitalika Buterina izskaidro struktūras trūkumu, ko daudzi joprojām ignorē. Bitcoin pierādīja, ka bez uzticības nauda var darboties. Taču mēroga pārredzamība ir saistīta ar cenu: ikviena transakcija ir izsekama uz visiem laikiem. Tas nav finansiālā brīvība, tas ir pastāvīga uzraudzība. {future}(ZECUSDT) Pēc Vitalika viedokļa, patiesais pārmaiņu brīdis pienāca 2016. gadā ar Zcash. ZEC nebija tikai vēl viens kriptovalūtas veids. Tas ieviesa nulles zināšanu pierādījumus darbībā, bez atļaujas tīklā, parādot, ka privātums un pārbaudāmība var pastāvēt vienlaikus. Tas, kas sekoja, pilnībā pārveidoja kriptovalūtu nozari: ZK-rollup, privāta DeFi, skalējami L2 tīkli visi atrod savu sakni Zcash agrīnajā darbā. {future}(BTCUSDT) Ironiski, ka šodienas stāstos par privātumu bieži uzskata par „opcionalu“. Taču vēsture liecina pretējo: Decentralizācija bez privātuma ir nepilnīga. Un Zcash bija brīdis, kad nozare saprata to. #zec #StrategyBTCPurchase #TrendingTopic $BTC $XRP {future}(XRPUSDT)
Vitaliks Buterins: Kā privātums un $ZEC Mainīja Kriptovalūtu Pasauli
„Bitcoin ir decentralizēts, taču tam nav privātuma.“

Šis viens teikums no Vitalika Buterina izskaidro struktūras trūkumu, ko daudzi joprojām ignorē.

Bitcoin pierādīja, ka bez uzticības nauda var darboties. Taču mēroga pārredzamība ir saistīta ar cenu: ikviena transakcija ir izsekama uz visiem laikiem. Tas nav finansiālā brīvība, tas ir pastāvīga uzraudzība.
Pēc Vitalika viedokļa, patiesais pārmaiņu brīdis pienāca 2016. gadā ar Zcash.

ZEC nebija tikai vēl viens kriptovalūtas veids. Tas ieviesa nulles zināšanu pierādījumus darbībā, bez atļaujas tīklā, parādot, ka privātums un pārbaudāmība var pastāvēt vienlaikus.

Tas, kas sekoja, pilnībā pārveidoja kriptovalūtu nozari:

ZK-rollup, privāta DeFi, skalējami L2 tīkli visi atrod savu sakni Zcash agrīnajā darbā.
Ironiski, ka šodienas stāstos par privātumu bieži uzskata par „opcionalu“.

Taču vēsture liecina pretējo:

Decentralizācija bez privātuma ir nepilnīga.

Un Zcash bija brīdis, kad nozare saprata to.
#zec #StrategyBTCPurchase #TrendingTopic $BTC $XRP
Chelsea-55882:
back to Fiat.. centralized and privacy, vs Bitcoin de centralized and transparency?
Skatīt oriģinālu
$ETH pašlaik parāda stipru bullish tendenci. Pirkļi skaidri kontrolē tirgu, un cena turas virs svarīga atbalsta līmeņa. Ieeja: $3099 Stops: $3069 Mērķi: $3120 → $3140 → $3150 Diagramma parāda augstākus augšupvērstus un augstākus lejupvērstus punktus, kas turpina tendenci stipru izskatu. Ja šī impulss turpināsies, ETH varētu iet pat vēl augstāk. Tiem, kuri turpina turēt vai plāno ienākt, īsā un vidējā termiņā izskats izskatās cieti. Pacietība ir svarīga — pārvaldiet savu risku un ļaujiet tendence darboties. {spot}(ETHUSDT) #StrategyBTCPurchase #ZTCBinanceTGE #ZTCBinanceTGE #CPIWatch #CPIWatch
$ETH pašlaik parāda stipru bullish tendenci. Pirkļi skaidri kontrolē tirgu, un cena turas virs svarīga atbalsta līmeņa.

Ieeja: $3099
Stops: $3069
Mērķi: $3120 → $3140 → $3150

Diagramma parāda augstākus augšupvērstus un augstākus lejupvērstus punktus, kas turpina tendenci stipru izskatu. Ja šī impulss turpināsies, ETH varētu iet pat vēl augstāk.

Tiem, kuri turpina turēt vai plāno ienākt, īsā un vidējā termiņā izskats izskatās cieti. Pacietība ir svarīga — pārvaldiet savu risku un ļaujiet tendence darboties.

#StrategyBTCPurchase #ZTCBinanceTGE #ZTCBinanceTGE #CPIWatch #CPIWatch
Skatīt oriģinālu
B
RIVERUSDT
Slēgts
PZA
-213.95%
Skatīt oriģinālu
STOP✋ Skaties, biedri, koncentrējies šeit UZ 🚀 $DOLO tagad kļūst traks! 🔥 Taisns vertikāls pārvietojums, liela apjoma, un +60% pumpēšana īsā laikā. Šis ir tīrs impulss, pirkšanas spēki pilnībā kontroli, un tendence ir karsta ⚡ DOLO/USDT mērķi 🎯 TP1: 0.070 TP2: 0.075 TP3: 0.082 Seko peļņai gudri, nesāc kļūt aizrautīgs. Impulss šāda veida neuzgaida, tirgus atalgojums ir ātrums, nevis cerība 💥 #StrategyBTCPurchase #USNonFarmPayrollReport #USTradeDeficitShrink
STOP✋ Skaties, biedri, koncentrējies šeit UZ 🚀 $DOLO tagad kļūst traks! 🔥

Taisns vertikāls pārvietojums, liela apjoma, un +60% pumpēšana īsā laikā.
Šis ir tīrs impulss, pirkšanas spēki pilnībā kontroli, un tendence ir karsta ⚡

DOLO/USDT mērķi 🎯
TP1: 0.070
TP2: 0.075
TP3: 0.082

Seko peļņai gudri, nesāc kļūt aizrautīgs.
Impulss šāda veida neuzgaida, tirgus atalgojums ir ātrums, nevis cerība 💥
#StrategyBTCPurchase #USNonFarmPayrollReport #USTradeDeficitShrink
B
BTCUSDT
Slēgts
PZA
+354.42%
Hania Andleeb:
ye by krna chhaye abi
Tulkot
Many of you are asking about $RIVER so listen carefully..... I’ve analyzed the structure again, and $RIVER is moving exactly as expected. Price has already bounced strongly from the demand zone and is now holding above 18–19, which is a key bullish area. This shows buyers are in control and dips are getting absorbed. As long as RIVER stays above the 16–17 support, the trend remains bullish. Small pullbacks are healthy and should not scare spot traders. The next upside zones are clearly visible on the chart, and if momentum continues, price can push higher step by step. Targets: TP1: 22.5 TP2: 23.7 TP3: 24.6 Stop-loss (safe): below 15.5 This is a spot-friendly setup, not a rush trade. Patience is key here. Let the structure play out and manage risk properly. click below and open low leverage long trade$RIVER More updates soon..... {future}(RIVERUSDT) #StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE
Many of you are asking about $RIVER so listen carefully.....
I’ve analyzed the structure again, and $RIVER is moving exactly as expected.
Price has already bounced strongly from the demand zone and is now holding above 18–19, which is a key bullish area. This shows buyers are in control and dips are getting absorbed.
As long as RIVER stays above the 16–17 support, the trend remains bullish. Small pullbacks are healthy and should not scare spot traders.
The next upside zones are clearly visible on the chart, and if momentum continues, price can push higher step by step.
Targets:
TP1: 22.5
TP2: 23.7
TP3: 24.6
Stop-loss (safe): below 15.5
This is a spot-friendly setup, not a rush trade. Patience is key here.
Let the structure play out and manage risk properly.
click below and open low leverage long trade$RIVER More updates soon.....

#StrategyBTCPurchase #USTradeDeficitShrink #ZTCBinanceTGE
Tulkot
JAPAN JUST BROKE THE GLOBAL ECONOMY!!!🚨 JAPAN JUST BROKE THE GLOBAL ECONOMY!!! Japan is currently sitting on $10 TRILLION in debt. All Japan’s yields just hit the highest levels ever recorded. Bank of Japan calls an emergency monetary policy meeting. Their economy is collapsing, and nobody is prepared for what comes next. If Japan goes down, it takes the global financial system with it. They only survived because rates were pinned near zero. Now that anchor is gone. As yields rise, the math turns violent. Debt service explodes. Government revenue gets eaten by interest. No modern economy sustains this without pain: → Default → Restructuring → Or inflation Pick your poison. But here’s where it hits everyone else. Japan owns trillions in foreign assets. Over $1 trillion in U.S. Treasuries. Hundreds of billions in global stocks and bonds. They bought foreign assets because Japanese yields paid nothing. Now Japanese bonds finally pay real yields. After hedging, U.S. Treasuries actually lose money for Japanese investors. This isn’t panic. It’s math. Capital comes home. Hundreds of billions leaving global markets isn’t a slow adjustment. It’s a liquidity black hole. Then there’s the yen carry trade - over $1 trillion borrowed cheaply in yen and dumped into stocks, crypto, EM, anything with yield. As Japanese rates rise and the yen strengthens, those trades blow up. Forced selling starts. Margin calls spread. Correlations go to one. At the same time: → U.S.–Japan yield spreads are collapsing → Japanese capital has less reason to stay overseas → U.S. borrowing costs rise whether the Fed wants it or not And the Bank of Japan hasn’t even finished. Another hike in January? The yen spikes. Carry trades unwind harder. Global risk assets feel it immediately. Japan won’t print its way out this time. Inflation is already hot. Print more → yen drops → import costs surge → domestic crisis. They’re trapped between debt and currency - and the exit is closing. For 30 years, Japanese yields were the invisible anchor holding global rates down. Every portfolio since the '90s depended on it - whether investors knew it or not. That anchor just snapped. Stocks dump. Bonds dump. Crypto dumps. This is how “nothing is wrong” turns into everything breaking at once. The world is moving into a rate regime almost no one alive has traded before. I’ve studied macro for 10 years and I called almost every major market top, including the October BTC ATH. Follow and turn notifications on. I’ll post the warning BEFORE it hits the headlines.$BTC $SOL {future}(BTCUSDT) {future}(SOLUSDT) #StrategyBTCPurchase #USNonFarmPayrollReport #USTradeDeficitShrink #ZTCBinanceTGE

JAPAN JUST BROKE THE GLOBAL ECONOMY!!!

🚨 JAPAN JUST BROKE THE GLOBAL ECONOMY!!!

Japan is currently sitting on $10 TRILLION in debt.

All Japan’s yields just hit the highest levels ever recorded.

Bank of Japan calls an emergency monetary policy meeting.

Their economy is collapsing, and nobody is prepared for what comes next.

If Japan goes down, it takes the global financial system with it.

They only survived because rates were pinned near zero.
Now that anchor is gone.

As yields rise, the math turns violent.
Debt service explodes.
Government revenue gets eaten by interest.

No modern economy sustains this without pain:
→ Default
→ Restructuring
→ Or inflation

Pick your poison.

But here’s where it hits everyone else.

Japan owns trillions in foreign assets.
Over $1 trillion in U.S. Treasuries.
Hundreds of billions in global stocks and bonds.
They bought foreign assets because Japanese yields paid nothing.

Now Japanese bonds finally pay real yields.
After hedging, U.S. Treasuries actually lose money for Japanese investors.
This isn’t panic.
It’s math.

Capital comes home.

Hundreds of billions leaving global markets isn’t a slow adjustment.
It’s a liquidity black hole.

Then there’s the yen carry trade - over $1 trillion borrowed cheaply in yen and dumped into stocks, crypto, EM, anything with yield.

As Japanese rates rise and the yen strengthens, those trades blow up.
Forced selling starts.
Margin calls spread.
Correlations go to one.

At the same time:

→ U.S.–Japan yield spreads are collapsing
→ Japanese capital has less reason to stay overseas
→ U.S. borrowing costs rise whether the Fed wants it or not

And the Bank of Japan hasn’t even finished.

Another hike in January?
The yen spikes.
Carry trades unwind harder.
Global risk assets feel it immediately.

Japan won’t print its way out this time.
Inflation is already hot.

Print more → yen drops → import costs surge → domestic crisis.

They’re trapped between debt and currency - and the exit is closing.
For 30 years, Japanese yields were the invisible anchor holding global rates down.

Every portfolio since the '90s depended on it - whether investors knew it or not.

That anchor just snapped.

Stocks dump.
Bonds dump.
Crypto dumps.

This is how “nothing is wrong” turns into everything breaking at once.

The world is moving into a rate regime almost no one alive has traded before.

I’ve studied macro for 10 years and I called almost every major market top, including the October BTC ATH.

Follow and turn notifications on. I’ll post the warning BEFORE it hits the headlines.$BTC $SOL
#StrategyBTCPurchase #USNonFarmPayrollReport #USTradeDeficitShrink #ZTCBinanceTGE
Tulkot
$ZEC Zcash (ZEC) Technical Analysis · Current Price: $399.44 · 24h Range: $379.63 - $418.14 Technical Indicators · RSI (14): 43.75 (Neutral) · MACD (12, 26): -14.51 (Negative) · 50 EMA: ~$434.66 · 200 EMA: ~$435.41 Analysis & Sentiment: Bearish. Price is trading below the key 50 and 200 Exponential Moving Averages, confirming a downtrend. The negative MACD reinforces bearish momentum. A recent major breakdown was triggered by a crisis of confidence following the resignation of the core development team, which shattered market sentiment. $ZEC {spot}(ZECUSDT) *Trade Setup · Signal: Hold / Sell on rallies. Await a trend reversal confirmation. · Entry: N/A for new longs. Consider short positions on a rejection near the 50 EMA (~$435). · Stop Loss: Above $440 for short trades. · Target 1: $361 · Target 2: $300 (Key Fibonacci & Psychological Support) · Target 3: $253 Short-Term Outlook: The path of least resistance is down towards the $360-$300 support zone. Any recovery is likely to face strong resistance at the EMA cluster around $435. A sustained close above $440 is needed to invalidate the immediate bearish structure. --- Disclaimer: This analysis is for informational purposes only. It is not financial advice. Always conduct your own research (DYOR) and manage risk appropriately, as cryptocurrency trading carries significant risk of loss. #StrategyBTCPurchase #zec #WriteToEarnUpgrade #hk⁴⁷
$ZEC Zcash (ZEC) Technical Analysis

· Current Price: $399.44
· 24h Range: $379.63 - $418.14

Technical Indicators

· RSI (14): 43.75 (Neutral)
· MACD (12, 26): -14.51 (Negative)
· 50 EMA: ~$434.66
· 200 EMA: ~$435.41

Analysis & Sentiment: Bearish. Price is trading below the key 50 and 200 Exponential Moving Averages, confirming a downtrend. The negative MACD reinforces bearish momentum. A recent major breakdown was triggered by a crisis of confidence following the resignation of the core development team, which shattered market sentiment.
$ZEC
*Trade Setup
· Signal: Hold / Sell on rallies. Await a trend reversal confirmation.
· Entry: N/A for new longs. Consider short positions on a rejection near the 50 EMA (~$435).
· Stop Loss: Above $440 for short trades.
· Target 1: $361
· Target 2: $300 (Key Fibonacci & Psychological Support)
· Target 3: $253

Short-Term Outlook: The path of least resistance is down towards the $360-$300 support zone. Any recovery is likely to face strong resistance at the EMA cluster around $435. A sustained close above $440 is needed to invalidate the immediate bearish structure.

---

Disclaimer: This analysis is for informational purposes only. It is not financial advice. Always conduct your own research (DYOR) and manage risk appropriately, as cryptocurrency trading carries significant risk of loss.
#StrategyBTCPurchase
#zec #WriteToEarnUpgrade
#hk⁴⁷
--
Pozitīvs
Skatīt oriģinālu
$SOL īss likvidēšanas brīdinājums! Būm! Tirgus tikko stipri nodrebēja, kad $SOL īss pozīcija par 99,2 tūkstošiem dolāru tika likvidēta par 144,11 dolāriem! Tirgotāji, kas bija likvidējuši Solana, saņēma stipru triecienu, izraisot viļņus, kas pāršūpoja kriptovalūtas grafiku. Bulls rēc, un cenas kustība tagad stipri satricina pasūtījumu grāmatas! #USNonFarmPayrollReport #BinanceHODLerBREV #StrategyBTCPurchase {future}(SOLUSDT)
$SOL īss likvidēšanas brīdinājums!
Būm! Tirgus tikko stipri nodrebēja, kad $SOL īss pozīcija par 99,2 tūkstošiem dolāru tika likvidēta par 144,11 dolāriem! Tirgotāji, kas bija likvidējuši Solana, saņēma stipru triecienu, izraisot viļņus, kas pāršūpoja kriptovalūtas grafiku. Bulls rēc, un cenas kustība tagad stipri satricina pasūtījumu grāmatas!

#USNonFarmPayrollReport #BinanceHODLerBREV #StrategyBTCPurchase
Skatīt oriģinālu
🚨 SVAI: Vēsturisks trieciens Fed ārā 🔥Vashingtona, D. C. Pēc pārmaiņām, kas satricināja starptautiskos tirgus, ASV federālie prokurori ir uzsākuši kriminālvēsturi par Federal Reserve priekšsēdētāju Jeromu Povellu. Tas ir bezprecedensā modernās centrālās bankas vēsturē. Tirgus reaģēja uzreiz: Polymarket: Ods, ka Povels atstās, pieauga līdz 12% Kalshi: Iziešanas iespējamība pieauga līdz 19% Tirgotāji pēkšņi iekļauj tirgū to, kas agrāk šķita neiedomājami – Fed bez sava priekšsēdētāja. Uzticība vājinās, neizbēgama neziņa pieaug, un volatilitāte pieaug.

🚨 SVAI: Vēsturisks trieciens Fed ārā 🔥

Vashingtona, D. C. Pēc pārmaiņām, kas satricināja starptautiskos tirgus, ASV federālie prokurori ir uzsākuši kriminālvēsturi par Federal Reserve priekšsēdētāju Jeromu Povellu. Tas ir bezprecedensā modernās centrālās bankas vēsturē.
Tirgus reaģēja uzreiz:
Polymarket: Ods, ka Povels atstās, pieauga līdz 12%
Kalshi: Iziešanas iespējamība pieauga līdz 19%
Tirgotāji pēkšņi iekļauj tirgū to, kas agrāk šķita neiedomājami – Fed bez sava priekšsēdētāja. Uzticība vājinās, neizbēgama neziņa pieaug, un volatilitāte pieaug.
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Tulkot
📈币安人生/USDT:Short Trade Setup $币安人生 ​The market has hit a significant resistance zone at 0.1672. We are seeing signs of exhaustion in the timeframe with several rejection candles. Looking for a correction back to the support zones. ​📉 Entry Zone: 0.1626 - 0.1645 ​🎯 Targets: ​Target 1: 0.1583 ​Target 2: 0.1536 ​Target 3: 0.1489 ​🛑 Stop Limit: 0.1685 #WhaleWatch #StrategyBTCPurchase
📈币安人生/USDT:Short Trade Setup $币安人生
​The market has hit a significant resistance zone at 0.1672. We are seeing signs of exhaustion in the timeframe with several rejection candles. Looking for a correction back to the support zones.
​📉 Entry Zone: 0.1626 - 0.1645
​🎯 Targets:
​Target 1: 0.1583
​Target 2: 0.1536
​Target 3: 0.1489
​🛑 Stop Limit: 0.1685
#WhaleWatch #StrategyBTCPurchase
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Pozitīvs
An2eGraund:
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