19:01 During the Asian session, macro narratives and risk-averse sentiment are drawing more attention. The U.S. expands its additional sanctions on Iran to cover a wider secondary scope, risks in the Strait of Hormuz heat up, expectations for crude oil under pressure turn stronger, and gold’s forecast target is raised. Trade frictions are also intensifying; potential U.S.-Canada tariffs may push prices higher and increase uncertainty. Under a backdrop of high policy and situation volatility, capital often shifts toward safe-haven assets, making stablecoins and gold-related concepts worth watching. In trading, controlling position size and responding in batches to volatility is more prudent. For short-term operations, focus mainly on risk management—avoid chasing rallies and wait for better setups.#BTC #ETH #Gold #Macro #NFA DYOR