The core of BTC ETH ZEC isn’t the story itself—it’s whether it can generate sustainable buy-side demand.

Once policy and regulatory news hits, the market often trades expectations first, then looks for evidence later. The headline itself isn’t that important; what really matters is whether it changes the cost of capital, regulatory expectations, and trading access.

I’d rather wait for a second confirmation: when the relevant assets pull back, someone steps in, the discussion doesn’t fizzle out within an hour, and contract open interest doesn’t get distorted.

Not a call for trades—I’m just writing down my own observation framework.

Reference / feel free to critique: @Binance @BinanceNews @DocumentingBTC @APompliano