⚠️ Pedagang Crypto Harus Memperhatikan Pasar keuangan global sekali lagi memasuki fase rapuh 📉. Berita terbaru di seluruh ekuitas, mata uang, komoditas, dan indikator makro semuanya menunjukkan satu pesan jelas: selera risiko memudar, dan volatilitas kembali 🔄
Pasar Asia bereaksi pertama kali dan bereaksi keras 🌏 ⬇️Sektor properti China tetap di bawah tekanan 🇨🇳 🏗️dengan saham China Vanke terjun lebih dari 5% 📉 setelah mengeluarkan peringatan kerugian 2025. Kelemahan dengan cepat menyebar di seluruh wilayah, menarik KOSPI Korea Selatan turun hampir 5% 🔻
BTC and Gold are both seeing downside moves at the same time 📉 Gold moved from $5,592 to $4,883
BTC also showed noticeable selling pressure during this period Some market participants describe this as a risk-off phase, while others see it as a temporary adjustment driven by liquidity and macro factors.
Even assets often viewed as safe havens are experiencing volatility. How do you interpret this move? Do you see it as a short-term fluctuation or part of a broader market shift?