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This morning, the first number I checked wasn't a crypto price. It was the 90-day correlation coefficient between BTC and the S&P 500. It’s sitting around 0.4, a level that makes most crypto natives feel comfortable, even complacent. They think decoupling is here. They're wrong. In a real risk-off panic, that correlation snaps to 0.8 or higher in a...
Last time we saw a capital flow reversal this sharp was back in Q4 2022, just before the market bottomed. This morning, my pre-market scan lit up with a Bloomberg report: global funds have resumed buying Indian stocks. After a net outflow of $3.3 billion in January, they poured $1.7 billion back in this month. This isn't just noise; it's a signal. ...
By Macro & Commodities Strategy Desk | Last Updated: February 23, 2026
Let me be blunt: most of the forex trading strategies you read about online are, at best, distractions. They’re focused on lagging indicators, complex chart patterns, and proprietary signals that promise the world. But I'm here to tell you that the engine of the entire $7.5 trillion-a-day forex market runs on one thing and one thing only: central b...
The US Dollar Index (DXY) has been strengthening since late January, a move that may reflect growing risk-off sentiment across global markets.
Large U.S. banks and asset managers have increased their positions in BitMine, the company associated with Tom Lee and described as the largest corporate holder of Ethereum.
⚠️🌎 #world #economy #geopolitics #macro
Recent data on US Treasury flows highlights a notable divergence in global positioning: BRICS nations have been reducing their holdings, while Western countries and allied economies have been increasing exposure to US government debt.
The gold-to-US equities ratio remains at historically low levels, according to market experts.
According to Michael Saylor, a growing number of investors are now adding a small allocation of Bitcoin to their portfolios purely for diversification, even if they are not ideological supporters of crypto.

