Denmark’s prime minister warns a U.S. attempt to take Greenland would effectively end NATO and undermine long-standing security frameworks. NATO allies in Europe have united in opposition, emphasizing Greenland’s sovereignty and the need to respect international law.
This follows renewed interest from U.S. leadership in Greenland’s strategic position in the Arctic and its resource potential. European leaders, including France, Germany, Italy, Spain and the UK, have publicly pushed back against any unilateral control.
Why traders should watch this: • Rising geopolitical risk premiums may impact energy and commodity pricing • Safe-haven flows could strengthen USD and gold • Risk assets including crypto could see volatility shifts $BTC
SUI: Double Bottom Confirmed — $10.37 Target Back in Play
$SUI just printed a textbook double bottom on the weekly chart, signaling a long-term bullish reversal. Price has held the key support zone around $1.33–$1.40, forming a solid foundation for the next major leg up. As long as that base holds, the structure points toward a target at $10.37.
Fundamentally, SUI’s ecosystem is expanding fast — rising TVL, developer growth, and strong traction in DeFi and gaming. The parallel execution model and Move-based smart contracts continue to attract institutional attention.
Accumulation zone remains active. This is not noise — this is setup. Smart traders are watching $SUI closely. $SUI
Venezuela holds 303B barrels of oil, the largest on Earth, plus gold and strategic minerals. Total estimated value: $17.3 trillion.
Reports suggest the U.S. is moving toward control over these reserves.
Why this matters: Control of oil reshapes global energy prices Minerals and gold mean instant liquidity Trade routes and geopolitical leverage change overnight
This is not local news. This is a global reset.
When geopolitics move, markets reprice. When markets reprice, crypto feels it first.
Krievija oficiāli nosodīja ASV rīcību Venecuēlā kā nelegālu. Bet pēc tam pievienoja kaut ko svarīgu.
Viņi to sauca par “saskaņotu ar ASV stratēģiskajām interesēm.”
Tulkojums: Tas nav ideoloģija. Tas ir spēks, nafta un kontrole.
Galvenie punkti, uz kuriem tirgotājiem jāseko līdzi: • Venecuēla tur vislielākās naftas rezerves uz Zemes • Krievija signalizē par zemu tiešās atriebības iespēju • Enerģijas tirgi var zaudēt ģeopolitisko prēmiju • Globālie varas bloki var pāriet uz sarunām par ietekmes zonām
Tas nav eskalācija. Tas ir atzīšana.
Nafta, USD likviditāte un kripto svārstīgums reaģēs nākamie.
BREAKING ANALYSIS: Why the U.S. moved on Venezuela NOW
This was not sudden. This was 25+ years in the making.
Key points traders must understand: • Venezuela became a state-protected narco system after 1999 • Maduro inherited and expanded it after 2013 • In 2020 the U.S. indicted a sitting president for narco-terrorism • Sanctions failed. Negotiations failed. • Venezuela holds the world’s largest oil reserves • Pressure failed. Control followed.
This is not just Venezuela. This is drugs, oil, and global leverage.
Market implications: • Oil supply shock potential • Pressure on Russia and global energy pricing • Higher geopolitical risk premium • Volatility across commodities, FX, and crypto
This event will not move markets for days. It will shape them for years.
Watch energy. Watch liquidity. Watch geopolitics before charts. $BNB $SOL
BREAKING: Russia vs US Tensions Are Back on the Table
Russia has publicly called on the United States to “release” Venezuela’s leader Nicolás Maduro. This puts Venezuela back at the center of a global power struggle.
Why it matters: • Venezuela controls one of the largest oil reserves on Earth • US vs Russia influence battle is escalating again • Oil supply, sanctions, and global liquidity are at risk
Market impact to watch: Geopolitical pressure usually means • Higher oil volatility • Risk-off moves in USD • Increased demand for BTC and hard assets
This is not local news. It affects energy, macro liquidity, and crypto positioning.
JAUNUMS: ASV RĪCĪBA VENEZUELĀ VAR SATRAUKT ENERĢIJU & TIRGUS
Tramps apstiprina, ka ASV naftas uzņēmumi iekļūs Venezuelā, lai labotu un kontrolētu naftas infrastruktūru.
Venezuela satur pasaulē lielākos naftas krājumus. 303 miljardi barelu. Vērtība pārsniedz 17 triljonus dolāru.
Tas nav būvniecība. Tas ir sviras efekts.
Vairāk ASV ietekmes pār naftas piegādi nozīmē: – Globāla enerģijas pārcenšana – Spiediens uz Ķīnas naftas piekļuvi – Nestabilitāte visos preču, valūtu un kriptovalūtu tirgos