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macroreview

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stivacrypto
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Don't be fooled by the CPI rebound! This is just a typical trap by the main force to lure bulls and shake out positions ⚠️ Market review, not investment advice, contract trading carries very high risk Many retail investors have just established bullish beliefs, thinking that with CPI released and bad news fully priced in, the market is about to start a rebound trend. Let me be straightforward: the current rise is the most typical transitional bull trap. This ETH rally has no fundamental reversal support. CPI is not cooling down, inflation stickiness remains stubborn, non-farm employment is still overheated, and Fed rate hike expectations remain high. All macro fundamentals still lean hawkish. Why is it still rising? Purely market sentiment recovering from oversold conditions + concentrated short covering. A week of extreme panic has forced the market to absorb a huge volume of short positions. Neutral data release and the worst expectations falling through have forced passive liquidations, pushing prices up. This is capital behavior, not trend behavior. The main force's favorite tactic: Before major data releases and FOMC meetings, use small rebounds to repair the market, attract retail investors to chase longs and take the bait, then wait for the Fed decision on 9.16 to complete a new round of unified harvesting. Every bit of the current rebound is an opportunity to sell at high levels. Don't mistake an emotional rebound for a bull market restart. The real direction has never been in the CPI, only in the Fed. #ETH #TradingAwareness #MacroReview
Don't be fooled by the CPI rebound! This is just a typical trap by the main force to lure bulls and shake out positions

⚠️ Market review, not investment advice, contract trading carries very high risk

Many retail investors have just established bullish beliefs, thinking that with CPI released and bad news fully priced in, the market is about to start a rebound trend.
Let me be straightforward: the current rise is the most typical transitional bull trap.

This ETH rally has no fundamental reversal support.
CPI is not cooling down, inflation stickiness remains stubborn, non-farm employment is still overheated, and Fed rate hike expectations remain high.
All macro fundamentals still lean hawkish.

Why is it still rising?
Purely market sentiment recovering from oversold conditions + concentrated short covering.

A week of extreme panic has forced the market to absorb a huge volume of short positions. Neutral data release and the worst expectations falling through have forced passive liquidations, pushing prices up.
This is capital behavior, not trend behavior.

The main force's favorite tactic:
Before major data releases and FOMC meetings, use small rebounds to repair the market, attract retail investors to chase longs and take the bait,
then wait for the Fed decision on 9.16 to complete a new round of unified harvesting.

Every bit of the current rebound is an opportunity to sell at high levels.
Don't mistake an emotional rebound for a bull market restart.
The real direction has never been in the CPI, only in the Fed.

#ETH #TradingAwareness #MacroReview
【深夜复盘】加密市场今日多空交织。利好方面,Bithumb上线O代币韩元市场,Upbit新增RLUSD稳定币交易。BNB Chain Q2数据亮眼:ETF纳市上市、SpaceX代币化上链、单季销毁157万BNB(约10亿美元)。 风险警示:Bybit下架XTER/SCA等8代币;币安停止SOPH主网支持;去中心化存储STORJ Labs申请破产。SK海力士永续合约在Hyperliquid闪崩至900美元,韩国Kospi暴跌11%拖累BTC回撤2%。 情绪端:US-Iran外交谈判缓和地缘紧张,原油价格下跌,债市收益率走低。加密市场静待美联储利率决议。 NFA | DYOR #DeFi #Stablecoin #CEX #KoreanMarket #MacroReview
【深夜复盘】加密市场今日多空交织。利好方面,Bithumb上线O代币韩元市场,Upbit新增RLUSD稳定币交易。BNB Chain Q2数据亮眼:ETF纳市上市、SpaceX代币化上链、单季销毁157万BNB(约10亿美元)。

风险警示:Bybit下架XTER/SCA等8代币;币安停止SOPH主网支持;去中心化存储STORJ Labs申请破产。SK海力士永续合约在Hyperliquid闪崩至900美元,韩国Kospi暴跌11%拖累BTC回撤2%。

情绪端:US-Iran外交谈判缓和地缘紧张,原油价格下跌,债市收益率走低。加密市场静待美联储利率决议。

NFA | DYOR

#DeFi #Stablecoin #CEX #KoreanMarket #MacroReview
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