Q4 setup looking bullish or nah? š¤
Historically Q4 brings liquidity + macro tailwinds, but this cycle feels different. Less violent pullbacks could mean:
⢠Spot ETF inflows staying consistent
⢠Institutional desks holding through volatility
⢠Altcoin rotations staying tight (less -40% nukes)
But don't get comfy. If $BTC fails to hold key support or macro flips (Fed pivots, liquidity dries up), we're back to chop city.
Mini bull? Maybe. But manage risk like it's still a bear market. Take profits, rotate smart, don't marry bags.
Historically Q4 brings liquidity + macro tailwinds, but this cycle feels different. Less violent pullbacks could mean:
⢠Spot ETF inflows staying consistent
⢠Institutional desks holding through volatility
⢠Altcoin rotations staying tight (less -40% nukes)
But don't get comfy. If $BTC fails to hold key support or macro flips (Fed pivots, liquidity dries up), we're back to chop city.
Mini bull? Maybe. But manage risk like it's still a bear market. Take profits, rotate smart, don't marry bags.