Binance Square

smartcryptomedia

7,805 skatījumi
65 piedalās diskusijā
Smart Crypto Media
--
Skatīt oriģinālu
Kāpēc Bitcoin ETF plūsmas kļūst uzmanīgākas — un kāpēc bankas to neaptur#BTC #SmartCryptoMedia #write2earn Nesenās Bitcoin ETF izplūdes netiek izraisītas ar kriptovalūtu specifiskās vājuma. Tā vietā tās atspoguļo plašāku makro pozicionēšanas pārmaiņu, kad investori gaida skaidrākus signālus par inflāciju un monetāro politiku. ETF datu rādītāji parāda, ka iestādes samazina savu eksponētumu riskantēm aktīvām, tostarp kriptovalūtām, turpinot uzmanīgi vērot CPI izlaidumus un U.S. Fed vadības norādījumus. Šajā vide ir kļuvusi īstermiņa pozicionēšana vairāk aizsargājoša. Dažām fondiem Bitcoin ETF ir tagad ērts veids, kā ātri pielāgot eksponētumu, kad mainās politikas gaidas.

Kāpēc Bitcoin ETF plūsmas kļūst uzmanīgākas — un kāpēc bankas to neaptur

#BTC #SmartCryptoMedia #write2earn

Nesenās Bitcoin ETF izplūdes netiek izraisītas ar kriptovalūtu specifiskās vājuma. Tā vietā tās atspoguļo plašāku makro pozicionēšanas pārmaiņu, kad investori gaida skaidrākus signālus par inflāciju un monetāro politiku.

ETF datu rādītāji parāda, ka iestādes samazina savu eksponētumu riskantēm aktīvām, tostarp kriptovalūtām, turpinot uzmanīgi vērot CPI izlaidumus un U.S. Fed vadības norādījumus. Šajā vide ir kļuvusi īstermiņa pozicionēšana vairāk aizsargājoša. Dažām fondiem Bitcoin ETF ir tagad ērts veids, kā ātri pielāgot eksponētumu, kad mainās politikas gaidas.
Skatīt oriģinālu
ASV spot kriptovalūtas ETFs parāda kapitāla pārkārtošanu, nevis tirgus iziešanu#Ethereum #SmartCryptoMedia #write2earn ASV spot kriptovalūtas ETFs sākumā janvārī pieredzēja nozīmīgu kapitāla pārvietojumu, ar Bitcoin un Ethereum produktiem, kas reģistrēja ilgstošu tīru izplūdi. Tomēr spēcīgās tirdzniecības apjoms liecina, ka investori pielāgo savu eksponētību, nevis pilnībā atstāj kriptotirgus. 1. janvārī Bitcoin spot ETFs parādīja 250 miljonu ASV dolāru tīru izplūdi, kas ir ceturtais dienu pēc kārtas atsaukšanas. Lielākais izmaksājums bija no BlackRock IBIT, savukārt Fidelity FBTC bija vienīgais lielākais produkts, kurš reģistrēja nelielu ieplūdi. Lai arī nesen izjutās spiediens, kopējā iepriekšējā ieplūde visos Bitcoin spot ETFs saglabājas ievērojama — 56,4 miljoni dolāru, ar ETF krājumiem, kas pārstāv apmēram 6,5% no Bitcoin kopējā tirgus kapitalizācijas.

ASV spot kriptovalūtas ETFs parāda kapitāla pārkārtošanu, nevis tirgus iziešanu

#Ethereum #SmartCryptoMedia #write2earn
ASV spot kriptovalūtas ETFs sākumā janvārī pieredzēja nozīmīgu kapitāla pārvietojumu, ar Bitcoin un Ethereum produktiem, kas reģistrēja ilgstošu tīru izplūdi. Tomēr spēcīgās tirdzniecības apjoms liecina, ka investori pielāgo savu eksponētību, nevis pilnībā atstāj kriptotirgus.
1. janvārī Bitcoin spot ETFs parādīja 250 miljonu ASV dolāru tīru izplūdi, kas ir ceturtais dienu pēc kārtas atsaukšanas. Lielākais izmaksājums bija no BlackRock IBIT, savukārt Fidelity FBTC bija vienīgais lielākais produkts, kurš reģistrēja nelielu ieplūdi. Lai arī nesen izjutās spiediens, kopējā iepriekšējā ieplūde visos Bitcoin spot ETFs saglabājas ievērojama — 56,4 miljoni dolāru, ar ETF krājumiem, kas pārstāv apmēram 6,5% no Bitcoin kopējā tirgus kapitalizācijas.
Skatīt oriģinālu
Bitcoin ilgtermiņa kapitālmarktās pieņēmumi: stratēģisks skatījums#vanek #SmartCryptoMedia #write2earn Kad Bitcoin kļūst maturāks par spekulatīvu instrumentu, ilgtermiņa investori arvien biežāk to novērtē pēc kapitālmarktās pieņēmumu (CMA) viedokļa. Šis rāmjs uzmanību vērš uz gaidāmo atdevi, volatilitāti un korelāciju ilgākā laika posmā — nevis īstermiņa cenu kustībām. Pamatnolikuma scenārijā Bitcoin modelēts ar gaidāmu ilgtermiņa atdevi apmēram 15% gadā līdz 2050. Šis pieņēmums ir izraisīts pakāpeniskā pieņemšana kā starptautisks apmaksas līdzeklis un potenciāls rezerves aizsardzības līdzeklis reaģējot uz pieaugošo valsts parādu un monetāro paplašināšanos. Pat vēl vairāk konzervatīvi scenāriji joprojām pieņem mazus pozitīvus augumus, atspoguļojot Bitcoin uztveršanu kā retu, nesovereinu aktīvu.

Bitcoin ilgtermiņa kapitālmarktās pieņēmumi: stratēģisks skatījums

#vanek #SmartCryptoMedia #write2earn
Kad Bitcoin kļūst maturāks par spekulatīvu instrumentu, ilgtermiņa investori arvien biežāk to novērtē pēc kapitālmarktās pieņēmumu (CMA) viedokļa. Šis rāmjs uzmanību vērš uz gaidāmo atdevi, volatilitāti un korelāciju ilgākā laika posmā — nevis īstermiņa cenu kustībām.
Pamatnolikuma scenārijā Bitcoin modelēts ar gaidāmu ilgtermiņa atdevi apmēram 15% gadā līdz 2050. Šis pieņēmums ir izraisīts pakāpeniskā pieņemšana kā starptautisks apmaksas līdzeklis un potenciāls rezerves aizsardzības līdzeklis reaģējot uz pieaugošo valsts parādu un monetāro paplašināšanos. Pat vēl vairāk konzervatīvi scenāriji joprojām pieņem mazus pozitīvus augumus, atspoguļojot Bitcoin uztveršanu kā retu, nesovereinu aktīvu.
Skatīt oriģinālu
Ripple saņēma FCA atļauju, kas ļauj paplašināt darbību Lielbritānijā#Ripple #SmartCryptoMedia #write2earn Ripple ir veicis nozīmīgu regulatīvo soli Lielbritānijā, pēc tam kad saņēma atļauju no Finanšu uzraudzības iestādes (FCA). Atļauja ietver gan elektronisko naudas institūcijas (EMI) licenci, gan kriptovalūtas reģistrāciju, kas ļauj uzņēmumam paplašināt savas regulētās maksājumu un digitālo aktīvu pakalpojumus Lielbritānijā. EMI licence ļauj uzņēmumiem izsniegt elektronisko naudu un nodrošināt maksājumu saistītus pakalpojumus saskaņā ar Lielbritānijas finanšu noteikumiem. Turklāt Ripple kriptovalūtas reģistrācija prasa stingru atbilstību pret naudas mazgāšanas (AML) un zināt klientu (KYC) standartiem, kas atbilst valsts atbilstības ietvaru.

Ripple saņēma FCA atļauju, kas ļauj paplašināt darbību Lielbritānijā

#Ripple #SmartCryptoMedia #write2earn
Ripple ir veicis nozīmīgu regulatīvo soli Lielbritānijā, pēc tam kad saņēma atļauju no Finanšu uzraudzības iestādes (FCA). Atļauja ietver gan elektronisko naudas institūcijas (EMI) licenci, gan kriptovalūtas reģistrāciju, kas ļauj uzņēmumam paplašināt savas regulētās maksājumu un digitālo aktīvu pakalpojumus Lielbritānijā.
EMI licence ļauj uzņēmumiem izsniegt elektronisko naudu un nodrošināt maksājumu saistītus pakalpojumus saskaņā ar Lielbritānijas finanšu noteikumiem. Turklāt Ripple kriptovalūtas reģistrācija prasa stingru atbilstību pret naudas mazgāšanas (AML) un zināt klientu (KYC) standartiem, kas atbilst valsts atbilstības ietvaru.
Skatīt oriģinālu
Bitcoin cenas tuvāk lēmuma punktam: Nākotnē izlaušanās vai izkrišana?#BTC #SmartCryptoMedia #write2earn Bitcoin pašlaik tirdzniecībā atrodas ciešā diapazonā starp 85 000 un 95 000 USD, zonā, kas ir kļuvusi par galveno tehnisko un psiholoģisko cīņas lauku. Pēc neveiksmīgā mēģinājuma saglabāt nesenās augstākās vērtības BTC ir iegājis konsolidācijas posmā, kas norāda uz neizlēmību visā kriptotirgū. Pašlaik Bitcoin turpina virs tā 100 dienu eksponenciālās vidējās vērtības (EMA) apmēram 90 550 USD, līmeni, ko tirdzniecības darbinieki uzmanīgi vēro. Šis apgabals ir kalpojis kā īstermiņa atbalsts, palīdzot BTC saglabāt tirgus kapitalizāciju apmēram 1,8 triljonu USD.

Bitcoin cenas tuvāk lēmuma punktam: Nākotnē izlaušanās vai izkrišana?

#BTC #SmartCryptoMedia #write2earn
Bitcoin pašlaik tirdzniecībā atrodas ciešā diapazonā starp 85 000 un 95 000 USD, zonā, kas ir kļuvusi par galveno tehnisko un psiholoģisko cīņas lauku. Pēc neveiksmīgā mēģinājuma saglabāt nesenās augstākās vērtības BTC ir iegājis konsolidācijas posmā, kas norāda uz neizlēmību visā kriptotirgū.
Pašlaik Bitcoin turpina virs tā 100 dienu eksponenciālās vidējās vērtības (EMA) apmēram 90 550 USD, līmeni, ko tirdzniecības darbinieki uzmanīgi vēro. Šis apgabals ir kalpojis kā īstermiņa atbalsts, palīdzot BTC saglabāt tirgus kapitalizāciju apmēram 1,8 triljonu USD.
Skatīt oriģinālu
Morgan Stanley digitālais portfelis: klusa pāreja uz tokenizēto finanšu sistēmuMorgan Stanley plāns izdot savu īpašo digitālo portfelīti otrajā pusē 2026. gadā atspoguļo svarīgu soli tradicionālās finanšu un blokāžas tehnoloģijas savienošanā. Atšķirībā no iepriekšējām institucionālām kriptovalūtas eksperimentiem šis portfelis ir izstrādāts, lai atbalstītu gan galvenās kriptovalūtas — piemēram, Bitcoin, Ethereum un Solana, gan ari īstenās pasaules aktīvus, kas pārvērsti par tokeniem, tostarp akcijas, obligācijas un nekustamā īpašuma. Šis solis atspoguļo plašāku tendenci: lielas finanšu institūcijas vairs neatdala kriptovalūtas kā atsevišķu aktīvu klasi. Tā vietā tās sagatavojas nākotnei, kad tradicionālie un blokāžas pamatoti aktīvi pastāv vienā un tai pašā finanšu infrastruktūrā. Tokenizācija ļauj aktīviem būt attēlotiem tīklā, kas var uzlabot apmaiņas ātrumu, pārredzamību un pieejamību, samazinot operatīvo sarežģītību.

Morgan Stanley digitālais portfelis: klusa pāreja uz tokenizēto finanšu sistēmu

Morgan Stanley plāns izdot savu īpašo digitālo portfelīti otrajā pusē 2026. gadā atspoguļo svarīgu soli tradicionālās finanšu un blokāžas tehnoloģijas savienošanā. Atšķirībā no iepriekšējām institucionālām kriptovalūtas eksperimentiem šis portfelis ir izstrādāts, lai atbalstītu gan galvenās kriptovalūtas — piemēram, Bitcoin, Ethereum un Solana, gan ari īstenās pasaules aktīvus, kas pārvērsti par tokeniem, tostarp akcijas, obligācijas un nekustamā īpašuma.
Šis solis atspoguļo plašāku tendenci: lielas finanšu institūcijas vairs neatdala kriptovalūtas kā atsevišķu aktīvu klasi. Tā vietā tās sagatavojas nākotnei, kad tradicionālie un blokāžas pamatoti aktīvi pastāv vienā un tai pašā finanšu infrastruktūrā. Tokenizācija ļauj aktīviem būt attēlotiem tīklā, kas var uzlabot apmaiņas ātrumu, pārredzamību un pieejamību, samazinot operatīvo sarežģītību.
Skatīt oriģinālu
Metaplanet atsāk Bitkoina akumulāciju ar lielu Q4 iegādiMetaplanet atsākusi savu Bitkoina akumulācijas stratēģiju, pievienojot tūkstošiem BTC savā bilancē pēc īsa pārtraukuma, kas liecina par ilgtermiņa uzticību, nevis īsā termiņa spekulācijām. Galvenā atjauninājuma informācija Metaplanet, Tokijā reģistrēta uzņēmuma, beidza gadu, atgriežoties aktīvā Bitkoina akumulācijā. Q4 laikā uzņēmums iegādājās 4 279 BTC par kopējo izmaksu apmēru aptuveni $ETH 450 miljonu, beidzot trīs mēnešu pārtraukumu, kas sākās septembra beigās. Ar šo iegādi Metaplanet kopējie Bitkoina krājumi sasniedz 35 102 BTC, tagad vērtībā tuvu 3 miljoniem ASV dolāru, pamatojoties uz pašreizējiem tirgus cenām. Pēdējās partijas vidējā iegādes cena bija nedaudz virs 105 000 ASV dolāriem par BTC, kas liecina par gatavību iegādāties pat pie paaugstinātām tirgus cenām.

Metaplanet atsāk Bitkoina akumulāciju ar lielu Q4 iegādi

Metaplanet atsākusi savu Bitkoina akumulācijas stratēģiju, pievienojot tūkstošiem BTC savā bilancē pēc īsa pārtraukuma, kas liecina par ilgtermiņa uzticību, nevis īsā termiņa spekulācijām. Galvenā atjauninājuma informācija Metaplanet, Tokijā reģistrēta uzņēmuma, beidza gadu, atgriežoties aktīvā Bitkoina akumulācijā. Q4 laikā uzņēmums iegādājās 4 279 BTC par kopējo izmaksu apmēru aptuveni $ETH 450 miljonu, beidzot trīs mēnešu pārtraukumu, kas sākās septembra beigās. Ar šo iegādi Metaplanet kopējie Bitkoina krājumi sasniedz 35 102 BTC, tagad vērtībā tuvu 3 miljoniem ASV dolāru, pamatojoties uz pašreizējiem tirgus cenām. Pēdējās partijas vidējā iegādes cena bija nedaudz virs 105 000 ASV dolāriem par BTC, kas liecina par gatavību iegādāties pat pie paaugstinātām tirgus cenām.
Skatīt oriģinālu
32 miljardi dolāru plūst kriptovalūtu ETFs — vai tas ir jauna bulla cikla sākums? 32 miljardi dolāru tikko iekļuvuši kriptovalūtu ETFs — un tas nav mazie tirdzniecības dalībnieki, kas šo kustību vadījuši. Lielās institūcijas, pensijas fondi un ilgtermiņa investori iekļūst kriptovalūtās kā vēl nekad agrāk. #ETF #SmartCryptoMedia #write2earn
32 miljardi dolāru plūst kriptovalūtu ETFs — vai tas ir jauna bulla cikla sākums?
32 miljardi dolāru tikko iekļuvuši kriptovalūtu ETFs — un tas nav mazie tirdzniecības dalībnieki, kas šo kustību vadījuši.
Lielās institūcijas, pensijas fondi un ilgtermiņa investori iekļūst kriptovalūtās kā vēl nekad agrāk.
#ETF #SmartCryptoMedia #write2earn
Skatīt oriģinālu
Bitcoin tirgus izskats: 88 700 USD diapazons nosaka nākamo soļu#BTC #SmartCryptoMedia <t-33/> #Write2Earrn Bitcoin (BTC-USD) noslēdz gadu tirdzniecībā tuvu , iestrēdzis ciešā konsolidācijas diapazonā pēc ļoti svārstīga cikla, kas ietver virs 125 000 USD virsotni šogad sākumā. Šis uzvedības veids neapzīmē vājumu, bet gan tirgus, kas apstrādā lielus ienākumus vairāk mūsdienīgā struktūrā. Šīs cikla galvenā pārmaiņa ir augošā **spot Bitcoin ETFs** loma, kas kopā tagad glabā vairāk nekā 600 000 BTC. Šis institucionālais slānis ir mainījis Bitcoin tirdzniecību. Straujas krišanas, kas izraisītas tikai ar atslēgumu, kļūst mazāk biežas, savukārt krīzes arvien biežāk tiek absorbētas ilgtermiņa kapitālā. Kā rezultātā BTC korekcijas kļūst vairāk kontrolētās, nevis haotiskas.

Bitcoin tirgus izskats: 88 700 USD diapazons nosaka nākamo soļu

#BTC #SmartCryptoMedia <t-33/> #Write2Earrn
Bitcoin (BTC-USD) noslēdz gadu tirdzniecībā tuvu , iestrēdzis ciešā konsolidācijas diapazonā pēc ļoti svārstīga cikla, kas ietver virs 125 000 USD virsotni šogad sākumā. Šis uzvedības veids neapzīmē vājumu, bet gan tirgus, kas apstrādā lielus ienākumus vairāk mūsdienīgā struktūrā.

Šīs cikla galvenā pārmaiņa ir augošā **spot Bitcoin ETFs** loma, kas kopā tagad glabā vairāk nekā 600 000 BTC. Šis institucionālais slānis ir mainījis Bitcoin tirdzniecību. Straujas krišanas, kas izraisītas tikai ar atslēgumu, kļūst mazāk biežas, savukārt krīzes arvien biežāk tiek absorbētas ilgtermiņa kapitālā. Kā rezultātā BTC korekcijas kļūst vairāk kontrolētās, nevis haotiskas.
Tulkot
#Fed #SmartCryptoMedia #write2earn Fed Ends Quantitative Tightening — Could This Boost Bitcoin? The Federal Reserve has officially ended quantitative tightening (QT) and cut interest rates by 25 basis points to 3.75%–4.00%, marking a key pivot in U.S. monetary policy. The move comes as job growth slows and financial conditions tighten, signaling that further balance sheet reduction could strain the system. Chair Jerome Powell emphasized that this step is about financial stability, not an immediate stimulus. Futures markets now price in roughly an 80% chance of another 25-bps cut at the December 9–10 FOMC meeting, bringing rates potentially down to 3.50%–3.75%. For crypto markets, and Bitcoin in particular, this policy shift is notable. Ending QT restores liquidity, making it easier for investors to allocate capital to risk assets. Lower rates also reduce the opportunity cost of holding non-yielding assets like Bitcoin. Historically, previous Fed pivots away from tightening have coincided with significant BTC rallies, as looser monetary conditions encourage both institutional and retail participation. However, investors should remain cautious. The Fed’s stance is data-dependent, and any unexpected inflation or growth signals could alter policy direction. While liquidity conditions are improving, Bitcoin’s trajectory will continue to be influenced by broader macroeconomic factors and market sentiment. What is quantitative tightening? QT is the process of shrinking the Fed’s balance sheet to remove liquidity from markets. Why does ending QT matter for Bitcoin? It restores liquidity, potentially boosting capital flow into risk assets like crypto. Could rates fall further? Markets expect a likely 25-bps cut in December, but future moves depend on economic data. #Bitcoin #CryptoNews #FedPolicy #QT #FOMC #BinanceSquare The Fed ends QT and may cut rates further, easing liquidity conditions and creating a supportive environment for Bitcoin, while macro risks remain. Disclaimer: Not financial advice.
#Fed #SmartCryptoMedia #write2earn
Fed Ends Quantitative Tightening — Could This Boost Bitcoin?
The Federal Reserve has officially ended quantitative tightening (QT) and cut interest rates by 25 basis points to 3.75%–4.00%, marking a key pivot in U.S. monetary policy.
The move comes as job growth slows and financial conditions tighten, signaling that further balance sheet reduction could strain the system. Chair Jerome Powell emphasized that this step is about financial stability, not an immediate stimulus. Futures markets now price in roughly an 80% chance of another 25-bps cut at the December 9–10 FOMC meeting, bringing rates potentially down to 3.50%–3.75%.
For crypto markets, and Bitcoin in particular, this policy shift is notable. Ending QT restores liquidity, making it easier for investors to allocate capital to risk assets. Lower rates also reduce the opportunity cost of holding non-yielding assets like Bitcoin. Historically, previous Fed pivots away from tightening have coincided with significant BTC rallies, as looser monetary conditions encourage both institutional and retail participation.
However, investors should remain cautious. The Fed’s stance is data-dependent, and any unexpected inflation or growth signals could alter policy direction. While liquidity conditions are improving, Bitcoin’s trajectory will continue to be influenced by broader macroeconomic factors and market sentiment.
What is quantitative tightening?
QT is the process of shrinking the Fed’s balance sheet to remove liquidity from markets.
Why does ending QT matter for Bitcoin?
It restores liquidity, potentially boosting capital flow into risk assets like crypto.
Could rates fall further?
Markets expect a likely 25-bps cut in December, but future moves depend on economic data.
#Bitcoin #CryptoNews #FedPolicy #QT #FOMC #BinanceSquare
The Fed ends QT and may cut rates further, easing liquidity conditions and creating a supportive environment for Bitcoin, while macro risks remain.
Disclaimer: Not financial advice.
Tulkot
#Tether #SmartCryptoMedia #write2earn Tether’s Reserves: Understanding the $34 Billion Liquidity Gap Tether, the largest stablecoin by market capitalization, recently released its latest reserves report — and it’s grabbing attention. While the company reports $174 billion in USDT liabilities, it holds around $140 billion in cash and cash equivalents, including short-term U.S. Treasuries. This leaves a $34 billion gap between what’s immediately available and what could be redeemed at any time. Stablecoins like USDT are often called the “cash of crypto” because they provide liquidity and stability. When a gap exists between liabilities and instant cash, it raises questions about how quickly Tether could meet large-scale redemptions in extreme market conditions. It’s important to note that short-term Treasuries are highly secure, but they aren’t cash sitting in a bank account, and converting them to cash may take time. The liquidity gap doesn’t mean USDT is unsafe, but it underscores the importance of transparency and understanding the composition of stablecoin reserves. Investors and traders should monitor such disclosures, as liquidity dynamics can influence market confidence and redemption risks, particularly during periods of heightened volatility. The report is also a reminder to diversify stablecoin holdings and understand the backing assets behind them. What is Tether’s liquidity gap? It’s the difference between liabilities ($174B) and instantly available cash and equivalents ($140B), totaling $34B. Does this make USDT risky? Not necessarily; Treasuries are safe, but the gap highlights the difference between cash and liquid assets. Why does this matter to crypto users? Liquidity gaps can affect confidence in redemptions and influence stablecoin market behavior. #Tether #USDT #Stablecoins #CryptoLiquidity #BinanceSquare #CryptoInsights Tether’s reserves report shows a $34 billion liquidity gap between cash and liabilities, emphasizing the need for transparency in stablecoin backing. Disclaimer: Not financial advice.
#Tether #SmartCryptoMedia #write2earn
Tether’s Reserves: Understanding the $34 Billion Liquidity Gap
Tether, the largest stablecoin by market capitalization, recently released its latest reserves report — and it’s grabbing attention. While the company reports $174 billion in USDT liabilities, it holds around $140 billion in cash and cash equivalents, including short-term U.S. Treasuries. This leaves a $34 billion gap between what’s immediately available and what could be redeemed at any time.
Stablecoins like USDT are often called the “cash of crypto” because they provide liquidity and stability. When a gap exists between liabilities and instant cash, it raises questions about how quickly Tether could meet large-scale redemptions in extreme market conditions.
It’s important to note that short-term Treasuries are highly secure, but they aren’t cash sitting in a bank account, and converting them to cash may take time. The liquidity gap doesn’t mean USDT is unsafe, but it underscores the importance of transparency and understanding the composition of stablecoin reserves.
Investors and traders should monitor such disclosures, as liquidity dynamics can influence market confidence and redemption risks, particularly during periods of heightened volatility. The report is also a reminder to diversify stablecoin holdings and understand the backing assets behind them.
What is Tether’s liquidity gap?
It’s the difference between liabilities ($174B) and instantly available cash and equivalents ($140B), totaling $34B.
Does this make USDT risky?
Not necessarily; Treasuries are safe, but the gap highlights the difference between cash and liquid assets.
Why does this matter to crypto users?
Liquidity gaps can affect confidence in redemptions and influence stablecoin market behavior.
#Tether #USDT #Stablecoins #CryptoLiquidity #BinanceSquare #CryptoInsights
Tether’s reserves report shows a $34 billion liquidity gap between cash and liabilities, emphasizing the need for transparency in stablecoin backing.
Disclaimer: Not financial advice.
Tulkot
#BTC #SmartCryptoMedia #Write2Earn Bitcoin Tests Key Resistance Around $93K Bitcoin (BTC) has started a fresh upward move, breaking above $90,500 and now testing critical resistance near $93,000. The 100-hourly SMA and a bullish trend line around $90,800 provide short-term support, suggesting momentum remains on the upside. If BTC closes above $93,500, the next targets could reach $95,000–$96,500, with further resistance at $97,200 and $98,000. On the downside, failure to hold above $90,800 may trigger a retracement toward $88,400 or lower, with strong support at $84,000. Technical indicators are currently bullish: the MACD is gaining pace in the positive zone, and the RSI remains above 50, signaling continued momentum. Traders are closely watching for a confirmed breakout, which could indicate whether BTC is positioned for a higher leg in the ongoing rally. Closing Insight: Bitcoin’s near-term price action is shaped by the $93K resistance. Monitoring how BTC interacts with this level, alongside trend-line support, can help traders anticipate potential breakouts or pullbacks. FAQs: Q: What is the immediate support for BTC? A: $90,800, followed by $88,400 and $84,000. Q: What resistance should traders watch? A: $93,000 is key, with secondary levels at $93,500, $95,000, and $96,500. #Bitcoin #BTC #CryptoMarket #CryptoTrading #BNBChain #CryptoNews BTC tests $93K resistance; traders watch breakout potential while support levels hold near $90.8K and $88.4K. Disclaimer: Not financial advice.
#BTC #SmartCryptoMedia #Write2Earn
Bitcoin Tests Key Resistance Around $93K

Bitcoin (BTC) has started a fresh upward move, breaking above $90,500 and now testing critical resistance near $93,000. The 100-hourly SMA and a bullish trend line around $90,800 provide short-term support, suggesting momentum remains on the upside.
If BTC closes above $93,500, the next targets could reach $95,000–$96,500, with further resistance at $97,200 and $98,000. On the downside, failure to hold above $90,800 may trigger a retracement toward $88,400 or lower, with strong support at $84,000.
Technical indicators are currently bullish: the MACD is gaining pace in the positive zone, and the RSI remains above 50, signaling continued momentum. Traders are closely watching for a confirmed breakout, which could indicate whether BTC is positioned for a higher leg in the ongoing rally.
Closing Insight:
Bitcoin’s near-term price action is shaped by the $93K resistance. Monitoring how BTC interacts with this level, alongside trend-line support, can help traders anticipate potential breakouts or pullbacks.
FAQs:
Q: What is the immediate support for BTC?
A: $90,800, followed by $88,400 and $84,000.
Q: What resistance should traders watch?
A: $93,000 is key, with secondary levels at $93,500, $95,000, and $96,500.
#Bitcoin #BTC #CryptoMarket #CryptoTrading #BNBChain #CryptoNews
BTC tests $93K resistance; traders watch breakout potential while support levels hold near $90.8K and $88.4K.
Disclaimer: Not financial advice.
Tulkot
#GOLD #SmartCryptoMedia #wrtietoearn Why Gold Prices Could Rise Another 20% in 2026, According to Wall Street Forecasts Gold’s powerful rally in 2025—driving the metal to record levels—may not be over. Several major Wall Street research teams expect gold to advance by as much as 20% in 2026, supported by familiar but strengthening macroeconomic forces. This year’s surge, which pushed prices above $4,100 per ounce, has been driven by persistent inflation, strong central bank buying, and rising concerns about global economic resilience. Analysts believe these same factors could continue to support bullion next year. Bank of America projects that gold could reach $5,000, pointing to structural pressures such as widening US deficits and ongoing policy uncertainty. According to the bank, gold typically cools only when its fundamental drivers fade—something not yet visible in current macro conditions. Goldman Sachs holds a similar outlook, estimating prices could climb toward $4,900 by year-end 2026. Analysts highlight two major catalysts: expectations of Federal Reserve rate cuts and steady demand from private investors who view gold as a reliable hedge during economic transitions. If these forecasts materialize, gold may remain one of the strongest-performing traditional assets going into 2026. Why is central bank buying important? It reduces available supply and signals long-term confidence in gold as a reserve asset. How do rate cuts support gold? Lower rates can weaken the dollar and make non-yielding assets like gold more attractive. #GoldMarket #Commodities #MacroTrends #InvestingInsights #MarketOutlook Gold price outlook for 2026 based on leading Wall Street forecasts. Not Financial Advice
#GOLD #SmartCryptoMedia #wrtietoearn
Why Gold Prices Could Rise Another 20% in 2026, According to Wall Street Forecasts
Gold’s powerful rally in 2025—driving the metal to record levels—may not be over. Several major Wall Street research teams expect gold to advance by as much as 20% in 2026, supported by familiar but strengthening macroeconomic forces.
This year’s surge, which pushed prices above $4,100 per ounce, has been driven by persistent inflation, strong central bank buying, and rising concerns about global economic resilience. Analysts believe these same factors could continue to support bullion next year.
Bank of America projects that gold could reach $5,000, pointing to structural pressures such as widening US deficits and ongoing policy uncertainty. According to the bank, gold typically cools only when its fundamental drivers fade—something not yet visible in current macro conditions.
Goldman Sachs holds a similar outlook, estimating prices could climb toward $4,900 by year-end 2026. Analysts highlight two major catalysts: expectations of Federal Reserve rate cuts and steady demand from private investors who view gold as a reliable hedge during economic transitions.
If these forecasts materialize, gold may remain one of the strongest-performing traditional assets going into 2026.
Why is central bank buying important?
It reduces available supply and signals long-term confidence in gold as a reserve asset.
How do rate cuts support gold?
Lower rates can weaken the dollar and make non-yielding assets like gold more attractive.
#GoldMarket #Commodities #MacroTrends #InvestingInsights #MarketOutlook
Gold price outlook for 2026 based on leading Wall Street forecasts.
Not Financial Advice
Tulkot
#silverpriceandgold #SmartCryptoMedia #write2earn Silver Prices Shine Bright: What’s Driving the Rally in 2025? Silver is stepping into the spotlight in 2025, delivering one of the strongest rallies among all asset classes, with year-to-date gains exceeding 70%. The white metal’s surge has been fueled by a mix of industrial demand, rising ETF investments, and its appeal as a safe-haven asset amid global uncertainty. Industrial usage plays a key role: silver is essential in electronics, solar panels, and medical applications, which has sustained demand even as broader markets fluctuate. Meanwhile, silver ETFs have seen unprecedented inflows, helping small investors gain exposure without the challenges of holding physical metal, such as storage, purity verification, or liquidity constraints. In India, silver ETFs grew from ₹2,844 crore in October 2023 to over ₹37,518 crore by September 2025, reflecting growing investor confidence. The metal also benefits from macroeconomic factors. A weakening dollar, lower interest rates, and geopolitical tensions have heightened silver’s role as a portfolio diversifier and inflation hedge. For investors, silver offers a unique dual advantage: it combines growth potential linked to industrial adoption with the stability of a precious metal, making it an attractive addition for diversified portfolios. Why is silver outperforming gold this year? Higher industrial demand, ETF inflows, and safe-haven appeal have driven silver’s returns above gold. Can small investors access silver easily? Yes, silver ETFs provide a simple and secure way to invest without holding physical metal. Is silver a good hedge against inflation? Silver historically preserves value during inflationary periods, complementing traditional hedges like gold. #Silver #Investing #ETFs #PreciousMetals #PortfolioDiversification #BinanceSquare Silver prices are hitting new highs in 2025, driven by industrial use, ETFs, and safe-haven demand, offering both growth and portfolio diversification opportunities. Disclaimer: Not financial advice.
#silverpriceandgold #SmartCryptoMedia #write2earn
Silver Prices Shine Bright: What’s Driving the Rally in 2025?
Silver is stepping into the spotlight in 2025, delivering one of the strongest rallies among all asset classes, with year-to-date gains exceeding 70%. The white metal’s surge has been fueled by a mix of industrial demand, rising ETF investments, and its appeal as a safe-haven asset amid global uncertainty.
Industrial usage plays a key role: silver is essential in electronics, solar panels, and medical applications, which has sustained demand even as broader markets fluctuate. Meanwhile, silver ETFs have seen unprecedented inflows, helping small investors gain exposure without the challenges of holding physical metal, such as storage, purity verification, or liquidity constraints. In India, silver ETFs grew from ₹2,844 crore in October 2023 to over ₹37,518 crore by September 2025, reflecting growing investor confidence.
The metal also benefits from macroeconomic factors. A weakening dollar, lower interest rates, and geopolitical tensions have heightened silver’s role as a portfolio diversifier and inflation hedge.
For investors, silver offers a unique dual advantage: it combines growth potential linked to industrial adoption with the stability of a precious metal, making it an attractive addition for diversified portfolios.
Why is silver outperforming gold this year?
Higher industrial demand, ETF inflows, and safe-haven appeal have driven silver’s returns above gold.
Can small investors access silver easily?
Yes, silver ETFs provide a simple and secure way to invest without holding physical metal.
Is silver a good hedge against inflation?
Silver historically preserves value during inflationary periods, complementing traditional hedges like gold.
#Silver #Investing #ETFs #PreciousMetals #PortfolioDiversification #BinanceSquare
Silver prices are hitting new highs in 2025, driven by industrial use, ETFs, and safe-haven demand, offering both growth and portfolio diversification opportunities.
Disclaimer: Not financial advice.
Tulkot
#BlackRock⁩ #SmartCryptoMedia #write2earn🌐💹 BlackRock Expands Bitcoin and Ethereum Holdings as Institutional Demand Rises BlackRock has strengthened its position in the digital asset sector with a recent acquisition of $589 million worth of Bitcoin and Ethereum. Blockchain data shows the firm deposited 3,722 BTC and 36,283 ETH into Coinbase Prime over a three-day period, signaling a coordinated effort to boost liquidity for its spot Bitcoin and Ethereum ETFs. These products have drawn strong interest from institutional investors throughout the year. This move follows Texas’s milestone investment of $10 million in Bitcoin through BlackRock’s IBIT ETF, marking the first U.S. state to allocate part of its treasury to digital assets. Texas officials plan to adopt self-custody once their infrastructure matures and may add Ethereum to their reserves if its market capitalization remains above $500 billion over a sustained period. Recent flows highlight a growing trend: institutions are using ETFs for regulated exposure while simultaneously laying the groundwork for direct on-chain interaction. BlackRock’s ETF complex has attracted more than $20 billion in inflows this year, often correlating with periods of increased volatility across BTC and ETH trading pairs. Historically, similar high-volume transfers have been followed by short-term liquidity shifts and moderate price reactions. These developments point to a maturing digital asset ecosystem where states, asset managers, and traditional finance are increasingly interconnected. As more institutions explore self-custody and long-term reserve strategies, demand for secure infrastructure, regulatory clarity, and reliable custody solutions is expected to accelerate. Track ETF inflows, large wallet transfers, and state-level policy updates to better understand emerging institutional trends. Overview of BlackRock’s recent BTC and ETH acquisitions and their impact on institutional crypto integration. Not Financial Advice
#BlackRock⁩ #SmartCryptoMedia #write2earn🌐💹
BlackRock Expands Bitcoin and Ethereum Holdings as Institutional Demand Rises
BlackRock has strengthened its position in the digital asset sector with a recent acquisition of $589 million worth of Bitcoin and Ethereum. Blockchain data shows the firm deposited 3,722 BTC and 36,283 ETH into Coinbase Prime over a three-day period, signaling a coordinated effort to boost liquidity for its spot Bitcoin and Ethereum ETFs. These products have drawn strong interest from institutional investors throughout the year.
This move follows Texas’s milestone investment of $10 million in Bitcoin through BlackRock’s IBIT ETF, marking the first U.S. state to allocate part of its treasury to digital assets. Texas officials plan to adopt self-custody once their infrastructure matures and may add Ethereum to their reserves if its market capitalization remains above $500 billion over a sustained period.
Recent flows highlight a growing trend: institutions are using ETFs for regulated exposure while simultaneously laying the groundwork for direct on-chain interaction. BlackRock’s ETF complex has attracted more than $20 billion in inflows this year, often correlating with periods of increased volatility across BTC and ETH trading pairs. Historically, similar high-volume transfers have been followed by short-term liquidity shifts and moderate price reactions.
These developments point to a maturing digital asset ecosystem where states, asset managers, and traditional finance are increasingly interconnected. As more institutions explore self-custody and long-term reserve strategies, demand for secure infrastructure, regulatory clarity, and reliable custody solutions is expected to accelerate.
Track ETF inflows, large wallet transfers, and state-level policy updates to better understand emerging institutional trends.
Overview of BlackRock’s recent BTC and ETH acquisitions and their impact on institutional crypto integration.
Not Financial Advice
Skatīt oriģinālu
Bitcoin saglabā 87 000 USD līmeni, kad tuvojas liels opciju termiņa pabeigšanaBitcoin turpina tirdzniecību virs 87 000 USD līmeņa, kad tirgi sagatavojas vienam no gada lielākajiem derivātu notikumiem: gada beigās notiekošai opciju termiņa pabeigšanai, kuras atvērtā interesē ir vairāk nekā 30 miljardi USD. Līdz šim cenas kustības ir palikušas relatīvi stabili, taču šis notikums var ietekmēt īstermiņa volatilitāti un 2026. gada sākumā veiktās pozīcijas. Pašreizējie opciju dati parāda uzmanīgu tirgu. Lielā daļa call opciju atrodas tālu virs pašreizējās tirgus diapazona, kas nozīmē, ka, ja cenas nepārtraukti neatgūsies, daudzas no tām var izbeigties bez vērtības. Tas atspoguļo to, kā tirgotāji tika pārsteigti ar Bitcoin atkāpšanos pēc iepriekšējiem augstumiem un kopš tā laika pielāgoja savas sagaidītās vērtības.

Bitcoin saglabā 87 000 USD līmeni, kad tuvojas liels opciju termiņa pabeigšana

Bitcoin turpina tirdzniecību virs 87 000 USD līmeņa, kad tirgi sagatavojas vienam no gada lielākajiem derivātu notikumiem: gada beigās notiekošai opciju termiņa pabeigšanai, kuras atvērtā interesē ir vairāk nekā 30 miljardi USD. Līdz šim cenas kustības ir palikušas relatīvi stabili, taču šis notikums var ietekmēt īstermiņa volatilitāti un 2026. gada sākumā veiktās pozīcijas.

Pašreizējie opciju dati parāda uzmanīgu tirgu. Lielā daļa call opciju atrodas tālu virs pašreizējās tirgus diapazona, kas nozīmē, ka, ja cenas nepārtraukti neatgūsies, daudzas no tām var izbeigties bez vērtības. Tas atspoguļo to, kā tirgotāji tika pārsteigti ar Bitcoin atkāpšanos pēc iepriekšējiem augstumiem un kopš tā laika pielāgoja savas sagaidītās vērtības.
Tulkot
#BTC #SmartCryptoMedia #wrtietoearn Bitcoin Price Outlook: BTC Extends Recovery as ETF Inflows Turn Positive Bitcoin continues its steady rebound this week, climbing above $91,500 on Thursday after bouncing off a major support zone. The move follows renewed interest from institutional investors, with US-listed spot Bitcoin ETFs posting a second consecutive day of positive inflows. While this shift hints at easing selling pressure, on-chain signals still point to a fragile market environment that traders should monitor closely. ETF inflows suggest improving sentiment Data from SoSoValue shows that spot Bitcoin ETFs recorded $21.12 million in net inflows on Wednesday, following $128.64 million the previous day. These inflows are modest compared to last week’s heavy outflows, but they suggest that institutional selling is slowing. For Bitcoin to maintain its upward trajectory, analysts say ETF inflows must continue and strengthen over the coming days. On-chain metrics warn of weak liquidity Glassnode’s latest report highlights that Bitcoin is trading within a structurally weak zone after slipping below several key cost-basis levels. BTC remains in the $81,000–$89,000 range—a pattern similar to the post-peak consolidation seen in early 2022, when fading demand led to further downside pressure. One key warning signal comes from the Short-Term Holder Realized P/L Ratio, which has collapsed to 0.07, indicating that recent buyers are overwhelmingly realizing losses. This suggests liquidity has thinned significantly, raising the risk of renewed volatility if demand does not return soon. Price outlook: Can BTC reclaim momentum? Bitcoin found strong support near $80,000 last week and has since climbed back above $90,000, closing green on Wednesday. With RSI rising toward neutral territory and MACD flashing a bullish crossover, technical indicators hint at a potential continuation of the recovery. If bulls sustain momentum, Bitcoin could retest the next psychological milestone at $100,000.
#BTC #SmartCryptoMedia #wrtietoearn
Bitcoin Price Outlook: BTC Extends Recovery as ETF Inflows Turn Positive
Bitcoin continues its steady rebound this week, climbing above $91,500 on Thursday after bouncing off a major support zone. The move follows renewed interest from institutional investors, with US-listed spot Bitcoin ETFs posting a second consecutive day of positive inflows. While this shift hints at easing selling pressure, on-chain signals still point to a fragile market environment that traders should monitor closely.
ETF inflows suggest improving sentiment
Data from SoSoValue shows that spot Bitcoin ETFs recorded $21.12 million in net inflows on Wednesday, following $128.64 million the previous day. These inflows are modest compared to last week’s heavy outflows, but they suggest that institutional selling is slowing.
For Bitcoin to maintain its upward trajectory, analysts say ETF inflows must continue and strengthen over the coming days.
On-chain metrics warn of weak liquidity
Glassnode’s latest report highlights that Bitcoin is trading within a structurally weak zone after slipping below several key cost-basis levels. BTC remains in the $81,000–$89,000 range—a pattern similar to the post-peak consolidation seen in early 2022, when fading demand led to further downside pressure.
One key warning signal comes from the Short-Term Holder Realized P/L Ratio, which has collapsed to 0.07, indicating that recent buyers are overwhelmingly realizing losses. This suggests liquidity has thinned significantly, raising the risk of renewed volatility if demand does not return soon.
Price outlook: Can BTC reclaim momentum?
Bitcoin found strong support near $80,000 last week and has since climbed back above $90,000, closing green on Wednesday. With RSI rising toward neutral territory and MACD flashing a bullish crossover, technical indicators hint at a potential continuation of the recovery.
If bulls sustain momentum, Bitcoin could retest the next psychological milestone at $100,000.
Tulkot
#XRP #SmartCryptoMedia #write2earnonbinancesquare XRP Exchange Supply Is Shrinking: What It Means for Market Participants Recent on-chain data shows that more than 149 million XRP—valued at roughly 336 million dollars—has been withdrawn from centralized exchanges within a single day. Moves of this size typically indicate strategic accumulation by larger market participants rather than typical retail activity. A decline in exchange-based supply often reflects a shift toward long-term holding and self-custody. When fewer tokens are available on exchanges, the market can experience reduced liquidity, making price movements more sensitive to any increase in demand. In these conditions, even moderate buying pressure may create stronger volatility, as there is less available XRP to absorb market orders. For traders and analysts, this type of supply behavior serves as an early indicator of changing market dynamics. While it does not guarantee a specific outcome, diminishing exchange reserves often precede periods of increased interest or speculation. As XRP continues to see accelerated withdrawals, the quiet accumulation phase appears to be transitioning toward a period where supply constraints could have a more noticeable impact. Observing exchange flows, wallet activity, and liquidity changes can help traders better understand how these shifts may influence future market behavior. Monitor on-chain dashboards for continued reductions in exchange supply and track liquidity conditions across major trading pairs to stay aligned with evolving trends. #XRP #CryptoMarkets #OnChainData #DigitalAssets #MarketAnalysis #BlockchainInsights Analysis of recent XRP exchange outflows and their potential market implications. Not Financial Advice
#XRP #SmartCryptoMedia #write2earnonbinancesquare
XRP Exchange Supply Is Shrinking: What It Means for Market Participants
Recent on-chain data shows that more than 149 million XRP—valued at roughly 336 million dollars—has been withdrawn from centralized exchanges within a single day. Moves of this size typically indicate strategic accumulation by larger market participants rather than typical retail activity.
A decline in exchange-based supply often reflects a shift toward long-term holding and self-custody. When fewer tokens are available on exchanges, the market can experience reduced liquidity, making price movements more sensitive to any increase in demand. In these conditions, even moderate buying pressure may create stronger volatility, as there is less available XRP to absorb market orders.
For traders and analysts, this type of supply behavior serves as an early indicator of changing market dynamics. While it does not guarantee a specific outcome, diminishing exchange reserves often precede periods of increased interest or speculation.
As XRP continues to see accelerated withdrawals, the quiet accumulation phase appears to be transitioning toward a period where supply constraints could have a more noticeable impact. Observing exchange flows, wallet activity, and liquidity changes can help traders better understand how these shifts may influence future market behavior.
Monitor on-chain dashboards for continued reductions in exchange supply and track liquidity conditions across major trading pairs to stay aligned with evolving trends.
#XRP #CryptoMarkets #OnChainData #DigitalAssets #MarketAnalysis #BlockchainInsights
Analysis of recent XRP exchange outflows and their potential market implications.
Not Financial Advice
Tulkot
#MarketConfidence #SmartCryptoMedia #write2earn🌐💹 Market Confidence Grows in MicroStrategy’s Potential Bitcoin Purchase MicroStrategy is once again at the center of market attention as speculation rises around a potential new Bitcoin purchase. The company, known for its long-term BTC accumulation strategy, has historically made large acquisitions during periods of market uncertainty. As a result, traders often interpret MicroStrategy’s activity as a signal of broader institutional confidence. Recent market behavior suggests that investors are preparing for another possible announcement. MicroStrategy’s prior purchases often followed moments of elevated volatility, and the current environment—with liquidity rotations and cautious retail sentiment—mirrors conditions that preceded earlier acquisitions. While nothing has been confirmed, the market’s reaction shows that MicroStrategy remains a psychological anchor for many participants. Whether or not MicroStrategy announces a new purchase soon, its ongoing role underscores the steady institutional demand supporting Bitcoin’s long-term trajectory. 1. Why does MicroStrategy’s Bitcoin activity influence markets? Because the company is one of the largest corporate holders of BTC and often buys during periods of volatility. 2. Has MicroStrategy confirmed a new purchase? No. Current market confidence is driven by speculation based on past behavior. 3. Do institutional buys affect Bitcoin’s price? They can influence sentiment and liquidity, especially during market consolidation. 4. Why do traders follow MicroStrategy’s moves? They view the company’s strategy as long-term and conviction-driven. #Bitcoin #MicroStrategy #BTCNews #InstitutionalInvesting #CryptoMarkets #MarketAnalysis Market attention grows as traders anticipate the possibility of another MicroStrategy Bitcoin acquisition. Not financial advice.
#MarketConfidence #SmartCryptoMedia #write2earn🌐💹
Market Confidence Grows in MicroStrategy’s Potential Bitcoin Purchase
MicroStrategy is once again at the center of market attention as speculation rises around a potential new Bitcoin purchase. The company, known for its long-term BTC accumulation strategy, has historically made large acquisitions during periods of market uncertainty. As a result, traders often interpret MicroStrategy’s activity as a signal of broader institutional confidence.
Recent market behavior suggests that investors are preparing for another possible announcement. MicroStrategy’s prior purchases often followed moments of elevated volatility, and the current environment—with liquidity rotations and cautious retail sentiment—mirrors conditions that preceded earlier acquisitions. While nothing has been confirmed, the market’s reaction shows that MicroStrategy remains a psychological anchor for many participants.
Whether or not MicroStrategy announces a new purchase soon, its ongoing role underscores the steady institutional demand supporting Bitcoin’s long-term trajectory.
1. Why does MicroStrategy’s Bitcoin activity influence markets?
Because the company is one of the largest corporate holders of BTC and often buys during periods of volatility.
2. Has MicroStrategy confirmed a new purchase?
No. Current market confidence is driven by speculation based on past behavior.
3. Do institutional buys affect Bitcoin’s price?
They can influence sentiment and liquidity, especially during market consolidation.
4. Why do traders follow MicroStrategy’s moves?
They view the company’s strategy as long-term and conviction-driven.
#Bitcoin #MicroStrategy #BTCNews #InstitutionalInvesting #CryptoMarkets #MarketAnalysis
Market attention grows as traders anticipate the possibility of another MicroStrategy Bitcoin acquisition.
Not financial advice.
Skatīt oriģinālu
#BlackRock⁩ #SmartCryptoMedia #write2earn BlackRock’s IBIT ETF pārsniedz 3,7 miljardus USD, veicinot Bitcoin BlackRock’s iShares Bitcoin Trust (IBIT) ETF ir reģistrējis vairāk nekā 3,7 miljardus USD tirdzniecības apjoma, pārsniedzot lielākās ETF, piemēram, Vanguard’s S&P 500 (VOO). Šis pieaugums sakrita ar Bitcoin atjaunošanos virs 93 000 USD, iezīmējot 7% pieaugumu pēdējās 24 stundās. IBIT ETF šobrīd tur vairāk nekā 66,2 miljardus USD BTC, kas apzīmē aptuveni 3,88% no kopējā Bitcoin. Tikmēr Vanguard paziņoja par plašāku piekļuvi kripto valūtām, ļaujot lietotājiem tirgot ETF un investīciju fondus, kas koncentrējas uz Bitcoin, Ether, XRP un Solana. Neskatoties uz kripto ETF izaugsmi, Bitcoin ieguves akcijām joprojām ir jāsaskaras ar lejupvērstu spiedienu. Iren, Cipher un TeraWulf ir redzējuši samazinājumus sakarā ar neseno BTC samazināšanu, pieaugošajām darbības izmaksām un samazinātajām ieguves atlīdzībām. Savukārt MicroStrategy akciju cena pieauga par 6%, atspoguļojot turpināto institucionālo Bitcoin ekspozīciju. Kopumā kripto ETF, piemēram, IBIT, pārveido tirgus dinamiku, virzot īstermiņa BTC cenu darbību un izceļot pieaugošo saikni starp tradicionālajām finansēm un digitālajiem aktīviem. Noslēguma ieskats: IBIT ETF apjoma pieaugums uzsver pieaugošo institucionālo dalību Bitcoin. Tirgotājiem un investoriem būtu jāpievērš uzmanība ETF plūsmām kopā ar BTC cenu līmeņiem, jo tie var signalizēt īstermiņa tirgus momentumu un plašākas pieņemšanas tendences. Biežāk uzdotie jautājumi: Q: Kas nesen veicināja Bitcoin pieaugumu virs 93 tūkstošiem USD? A: Spēcīgs IBIT ETF tirdzniecības apjoms un paplašināta kripto ETF piekļuve no Vanguard. Q: Vai ieguves akcijas gūst labumu no šī pieauguma? A: Nav būtiski; ieguves rentabilitāte joprojām ir apgrūtināta sakarā ar samazināšanu un pieaugošajām izmaksām. #Bitcoin #BTC #CryptoETF #BlackRock #CryptoMarket #BNBChain #CryptoNews BlackRock’s IBIT ETF sasniedz 3,7 miljardus USD, veicinot BTC virs 93 tūkstošiem USD, jo institucionālā aktivitāte pārveido tirgus momentumu. Atteikšanās: Ne finanšu padoms.
#BlackRock⁩ #SmartCryptoMedia #write2earn

BlackRock’s IBIT ETF pārsniedz 3,7 miljardus USD, veicinot Bitcoin

BlackRock’s iShares Bitcoin Trust (IBIT) ETF ir reģistrējis vairāk nekā 3,7 miljardus USD tirdzniecības apjoma, pārsniedzot lielākās ETF, piemēram, Vanguard’s S&P 500 (VOO). Šis pieaugums sakrita ar Bitcoin atjaunošanos virs 93 000 USD, iezīmējot 7% pieaugumu pēdējās 24 stundās.
IBIT ETF šobrīd tur vairāk nekā 66,2 miljardus USD BTC, kas apzīmē aptuveni 3,88% no kopējā Bitcoin. Tikmēr Vanguard paziņoja par plašāku piekļuvi kripto valūtām, ļaujot lietotājiem tirgot ETF un investīciju fondus, kas koncentrējas uz Bitcoin, Ether, XRP un Solana.
Neskatoties uz kripto ETF izaugsmi, Bitcoin ieguves akcijām joprojām ir jāsaskaras ar lejupvērstu spiedienu. Iren, Cipher un TeraWulf ir redzējuši samazinājumus sakarā ar neseno BTC samazināšanu, pieaugošajām darbības izmaksām un samazinātajām ieguves atlīdzībām. Savukārt MicroStrategy akciju cena pieauga par 6%, atspoguļojot turpināto institucionālo Bitcoin ekspozīciju.
Kopumā kripto ETF, piemēram, IBIT, pārveido tirgus dinamiku, virzot īstermiņa BTC cenu darbību un izceļot pieaugošo saikni starp tradicionālajām finansēm un digitālajiem aktīviem.
Noslēguma ieskats:
IBIT ETF apjoma pieaugums uzsver pieaugošo institucionālo dalību Bitcoin. Tirgotājiem un investoriem būtu jāpievērš uzmanība ETF plūsmām kopā ar BTC cenu līmeņiem, jo tie var signalizēt īstermiņa tirgus momentumu un plašākas pieņemšanas tendences.
Biežāk uzdotie jautājumi:
Q: Kas nesen veicināja Bitcoin pieaugumu virs 93 tūkstošiem USD?
A: Spēcīgs IBIT ETF tirdzniecības apjoms un paplašināta kripto ETF piekļuve no Vanguard.
Q: Vai ieguves akcijas gūst labumu no šī pieauguma?
A: Nav būtiski; ieguves rentabilitāte joprojām ir apgrūtināta sakarā ar samazināšanu un pieaugošajām izmaksām.
#Bitcoin #BTC #CryptoETF #BlackRock #CryptoMarket #BNBChain #CryptoNews
BlackRock’s IBIT ETF sasniedz 3,7 miljardus USD, veicinot BTC virs 93 tūkstošiem USD, jo institucionālā aktivitāte pārveido tirgus momentumu.
Atteikšanās: Ne finanšu padoms.
Pieraksties, lai skatītu citu saturu
Uzzini jaunākās kriptovalūtu ziņas
⚡️ Iesaisties jaunākajās diskusijās par kriptovalūtām
💬 Mijiedarbojies ar saviem iemīļotākajiem satura veidotājiem
👍 Apskati tevi interesējošo saturu
E-pasta adrese / tālruņa numurs