🚨 GULF STOCKS FALL AS RIYADH ATTACK CLAIMS PUT MARKETS ON ALERT
GM everyone ☀️ Wall Street is closed, but geopolitical risk isn’t taking the weekend off.
Reuters reports Saudi stocks fell 0.5% and Qatar’s index dropped 0.9% on Sunday after the Houthis claimed attacks on Riyadh. "Reuters" (https://www.reuters.com/world/middle-east/saudi-gulf-stocks-fall-after-houthis-claim-riyadh-attacks-2026-09-20/)
Saudi Arabia confirmed intercepting a missile. Claims of damage to oil facilities remain unverified, according to AP. That distinction matters. "AP" (https://apnews.com/article/b1286cad816dd3e553f50f6dd5205972)
Why am I watching this as a crypto investor?
My read: if escalation pushes oil prices higher and keeps them elevated, it could add inflation pressure and complicate the outlook for lower interest rates. That would be a potential headwind for both growth stocks and crypto.
👀 My watchlist: • Brent when oil futures reopen. • Treasury yields and the dollar as trading resumes. • Whether BTC holds up if broader markets turn defensive.
The risk to that scenario: tensions ease, supply remains intact, and any oil premium fades.
I’m watching for confirmation before turning a geopolitical headline into a Bitcoin price prediction.
What’s your first signal this week: oil, the 10Y yield, or BTC?
🇺🇸 Trump wants an “AI Force.” Investors should watch what comes after the announcement.
Trump has announced plans to create an “AI Force” and appoint a new AI czar. Details on how the initiative would operate remain unclear.
My take: this puts the AI investment story back in focus—and that story extends well beyond chatbots.
The areas I’m watching: 🔹 Chips and computing infrastructure. 🔹 Data centers, power supply and cooling. 🔹 Businesses turning AI into products customers actually pay for.
If political support translates into investment and deployment, those areas could benefit. But an announcement alone doesn’t create revenue or justify every valuation.
For crypto investors, the same discipline applies: an “AI” label on a token is no substitute for users, demand or a credible business model.
My long-term thesis remains focused on the infrastructure behind this transformation. The next evidence to watch is concrete policy, funding and execution.
Where do you see the strongest opportunity: chips, energy or AI applications?
SpaceX 946 million dollar qiymatidagi NASA shartnomasi kengaytmasini uchta yangi XKS ekipaj missiyasi uchun qo‘lga kiritdi
🚀 SpaceX NASA bilan uchta qo‘shimcha ekipaj missiyasi uchun 946 million dollar qiymatidagi shartnoma kengaytmasini qo‘lga kiritdi NASA SpaceX kompaniyasiga Xalqaro kosmik stansiya (XKS)ga yana uchta ekipaj reysini taqdim etdi va kompaniyaning orbital laboratoriyaga kirish imkoniyatini saqlashdagi rolini kengaytirdi. 18-sentabr kuni e’lon qilingan ma’lumotlarga ko‘ra, Crew-15, Crew-16 va Crew-17 missiyalari Dragon kosmik kemasi hamda Falcon 9 raketalaridan foydalanadi. Missiya tayyorligi 2027 va 2028-yillarga rejalashtirilgan, shartnoma bo‘yicha ishlar esa 2030-yilgacha davom etadi. Aniq uchirish sanalari e’lon qilinmagan.
On September 18, the Bank of Japan raised its policy rate to 1.25%. Yet the yen fell against the dollar as guidance on further tightening disappointed expectations.
The lesson: markets trade the gap between expectations and reality.
Why should crypto investors care?
Borrowing in yen to buy other assets becomes more expensive as Japanese rates rise. If the yen also strengthens sharply, those leveraged positions can face additional pressure.
That’s a potential risk channel for stocks and crypto—not proof that a sell-off has started.
My watchlist: the yen, U.S. Treasury yields, and whether Bitcoin holds up when broader markets weaken.
When you check $BTC , do you also check what currencies and bonds are doing?
🚀 Trampning Grenlandiya kelishuvidan SpaceX foyda ko‘rishi mumkinmi?
Ehtimol, lekin investitsiya hikoyasi faqat sarlavhadan ko‘proq narsani talab qiladi.
AQShning harbiy ishtiroki kattaroq bo‘lsa, aloqa, kuzatuv va infratuzilmaga talab paydo bo‘lishi mumkin.
SpaceX'ning hisobida esa yirik harbiy uchirish bo‘yicha shartnomalar allaqachon bor. Shuning uchun bu kelishuvdan ko‘proq “kuzatishga arziydigan” holat — aniq g‘olib degani emas.
Keyingisini nimaga e’tibor beraman: amaldagi budjetlar, shartnomalar taqsimoti va kim haq olishi.
Strategik joylashuv har bir bog‘liq kompaniyani avtomatik ravishda yaxshi investitsiya degani emas.
E’lon bo‘yicha sarmoya kiritgan bo‘larmidingiz — yoki birinchi shartnoma chiqishini kutasizmi?
My first four demo trades. Four positive closes. And a little less fear of getting started. 🙌
For a long time, I was too afraid to trade. Then someone suggested trying a demo account, and I finally took that first step.
First win: “Beginner’s luck.” Second: “Okay… probably still luck.” Third: “Wait a minute.” This morning, I closed my fourth trade in profit.
To be clear: this was all demo trading. No real money, and four wins don’t prove I have a winning strategy. But taking what I’ve been reading and learning and putting it into practice feels good.
I’m an everyday worker learning about investing and trading, one step at a time. Sharing the beginning matters to me, too.
My next goal is to keep practicing, record my trades, and learn from losses when they come. Build a stronger foundation before putting real money on the line.
If fear has kept you from starting, I get it. That was me. You don’t have to know everything to start learning.
🚨 TradFi is moving deeper into crypto infrastructure. Binance has launched 7 new USDT-margined stock perpetuals, all tradable 24/7 and with leverage up to 20x: $PATH — UiPath $AMC — AMC Entertainment $CYPH — Cypherpunk Technologies $ANET — Arista Networks $HUT — Hut 8 $APLD — Applied Digital $AGPU — Axe Compute What caught my attention is not just the listings — it’s the mix. Most of these names sit around some of the biggest capital themes in today’s market: • AI automation • Data centers • GPU compute • Bitcoin infrastructure • Crypto treasury exposure $PATH gives exposure to enterprise automation and AI agents. $ANET sits at the networking layer of the AI buildout. $HUT and $APLD connect to digital infrastructure and compute. $CYPH brings a direct crypto-native angle through Zcash exposure. $AMC adds a high-volatility meme-stock element to the lineup. My takeaway: This is bigger than “7 new tickers.” Crypto exchanges are increasingly becoming another access layer for traditional markets — and that convergence between TradFi + AI + crypto infrastructure is one of the most interesting trends to watch. Which one would you research first? $PATH $AMC $CYPH $ANET $HUT $APLD $AGPU #TradFi #CryptoMacro #BinanceSquare
Bozorlar yana nafas olayotgandek — lekin men buni hali “risk-on” deb atay olmayman. Neft orqaga chekinmoqda. AQSHning 10Y daromadliligi 5% atrofidan yumshayapti. Texnologiyalar esa barqarorroq ushlab turibdi. Va bu kombinatsiya riskli aktivlarga biroz nafas olish imkonini berayapti. Lekin katta makro manzara o‘zgarmadi. Fed foiz stavkalarini 3.75%-4.00% ga ko‘tardi va siyosatchilar hali ham bu yil qo‘shimcha qattiqlashtirish uchun joy bor deb hisoblashmoqda. Demak, bu bozor “yaxshi xabar”ga emas, savdo qilmoqda. U kamroq bosim hisobiga harakatlanyapti. Bu juda muhim farq. Bugun kuzatayotganim: • AQSH 10Y — 5% dan pastda tura oladimi? • Neft — orqaga chekinish davom etadimi? • Nasdaq — texnologiya yetakchilikni davom ettiradimi? • $BTC $ETH $SOL — ular risk kayfiyatidagi yaxshilanishga ergashadimi? Mening xulosam: Agar daromadlilik va neft sovishda davom etsa, aksiyalar va kripto qo‘llab-quvvatlov topishda davom etishi mumkin. Agar bittasi yana yuqoriga burilsa, bosim tez qaytishi mumkin. Yengillik “to‘liq risk-on” muhiti bilan bir xil emas. Bugun yana nimalarni ko‘proq kuzatyapsiz: G‘aznachiliklar (Treasuries), texnologiya yoki kriptomi? $BTC $ETH $SOL $NVDAB $META $TSLA
My physical Binance Card is officially requested! 💳🟡
As someone building a portfolio from a regular salary, I’m curious about how crypto tools can fit into everyday life.
This time, I’m exploring Binance Card myself. Once it arrives, I’ll share my experience: the setup, my first purchase, and what I think of it in practice.
Curious too? Check your Binance app for availability and the terms that apply to you.
Have you tried it yet? What should I test first? 👇
🌍 WALL STREET CLOSED GREEN. JAPAN IS NEXT. September 17, 2026 | Market wrap 🇺🇸 U.S. stocks closed higher as lower oil prices and easing Treasury yields supported risk appetite. But yesterday’s Fed hike to 3.75%–4% remains part of the picture. 🇬🇧 The FTSE 100 gained 1.19%. The Bank of England held rates at 3.75%, with three policymakers voting for a hike. 🇯🇵 Next up: the Bank of Japan’s September 18 decision. A sharp yen rebound could pressure yen-funded leveraged positions, with potential spillovers into crypto. ₿ My take: today’s rally is encouraging, but it doesn’t prove financial conditions have improved for good. I’m watching the U.S. 10-year yield, the dollar and whether BTC and ETH attract sustained spot demand. Building a portfolio from a paycheck means keeping perspective—not chasing every green session. What matters more for Bitcoin next: U.S. yields or Japan? @GastonCanda #bitcoin #Macro #TradFi
Wall Street Meets Blockchain: What Tokenization Could Change for Investors
🏛️ Wall Street is preparing for longer trading hours. Tokenization could change what happens behind every trade. Imagine finishing your shift and accessing investments through markets that better fit your schedule. For someone building a portfolio from a regular paycheck, that future is easy to relate to. Two developments are bringing it closer. 🔎 What’s happening? The SEC scheduled a September 17 roundtable to examine preparations for 24-hour trading in U.S. equities, including market readiness, operational resilience and the implications of longer trading hours. "Source: SEC" (https://www.sec.gov/newsroom/meetings-events/sunshine-act-notice-roundtable-preparations-24-hour-trading-091726) Meanwhile, DTCC has already moved beyond planning: it reported transactions using DTC-tokenized securities on July 15, ahead of a planned October 2026 service launch. Its model allows securities held at DTC to move between traditional and tokenized forms. "Source: DTCC" (https://www.dtcc.com/press-releases/2026/dtcc-turns-tokenization-into-reality) These are distinct developments, but together they point toward a more connected financial system. ⚙️ Why tokenization matters Trading hours determine WHEN you can trade. Tokenization changes how an asset can be represented and transferred. DTCC says its service is designed to preserve the ownership rights, entitlements and investor protections of the underlying assets. The initial framework covers eligible securities, including Russell 1000 stocks, major index ETFs and U.S. Treasuries. "Source: DTCC" (https://www.dtcc.com/news/2026/may/04/dtcc-advances-development-of-new-tokenization-service) That distinction matters: a tokenized security’s legal structure determines what you actually own. A token that tracks a stock’s price should never automatically be treated as equivalent to owning the stock. 🌐 Why this matters for crypto My view: one of blockchain’s most consequential use cases could be helping traditional assets move through financial markets more efficiently. Potential benefits include more flexible collateral transfers, better connectivity between platforms and fewer constraints on when assets can move. But adoption does not automatically translate into higher prices for every blockchain token. Investors still need to ask where activity happens, who earns fees and whether a token captures any of that value. ⚠️ More access brings new challenges Longer trading hours do not create liquidity by themselves. Overnight markets can have thinner order books, wider spreads and greater slippage. And 24-hour trading does not necessarily mean 24/7 trading. Buying any U.S. stock on a Sunday at 3 a.m. remains a possible future scenario, not a conclusion we can draw from this roundtable. Tokenization also leaves practical questions: custody, cybersecurity, settlement arrangements and how investor rights are enforced. 📌 What I’m watching next • Whether DTCC delivers its planned October launch. • Which assets and networks attract sustained usage. • Whether overnight liquidity supports reliable execution. • How much access reaches ordinary investors. As someone building wealth from a paycheck, I want more flexibility and a clear understanding of what I own. A market that stays open longer should give us more choice—not make us feel we need to trade constantly. Would you use tokenized stocks and ETFs alongside crypto, or do you prefer keeping those investments separate? @GastonCanda #Tokenization #TradFi #RWA
🚨 Bozorlar uchun navbatdagi jang Fedning foiz stavkasi ko‘tarilishi bilan bog‘liq bo‘lmasligi mumkin — bu 10Y daromadlilik (yield) bo‘lishi mumkin. Fed stavkalarni 25 bpsga 3.75%-4.00% gacha ko‘tardi. Bu qismi esa hali bor. Endi muhim narsa — bozor bundan keyin riskni qanday qayta narxlaydi. Agar G‘aznachilik obligatsiyalari daromadliligi soviy boshlasa, o‘sish bo‘yicha baholashlar yana nafas olishi mumkin. Lekin agar AQShning 10Y ko‘rsatkichi 5% atrofida yoki undan yuqorida tursa, aksiyalarni ushlab turishning imkoniyat qiymati tez o‘zgaradi — ayniqsa texnologiya va boshqa uzoq muddatli aktivlarda. Maqsad — ana shunda qiziq narsa boshlanadi. Biz esa an’anaviy bozorlarda aralash reaksiyani ko‘rayapmiz: • $NVDAB ushlab turibdi • $META yashil • $TSLAB ijobiy • $SPCXB kuchli nisbiy momentum ko‘rsatmoqda • $MU biroz orqada Mening xulosam: Bu endi faqat “Fed haqidagi” voqea emas. Bu stavkalar + yieldlar + baholash haqidagi hikoyaga aylanmoqda. Va kripto ham kuzatishi kerak, chunki yieldlar yuqorida qolsa, likvidlik siqiladi va odatda risk aktivlari ham shuni his qiladi. Shunday ekan, asosiy savol: Bu yerdan qaysi narsa muhimroq — yana Fedning ko‘tarishi, yoki 10Yning yuqori holatda qolishi? $BTC $ETH $SOL $NVDA $META $TSLA $MU $SPCX #CryptoMacro #TradFi #BinanceSquare
Bozor bugun vahima uchun har qanday bahonaga ega edi. Biroq unday bo‘lmadi. AQSh Senati CLARITY qonunini ilgari sura olmadi. Bir necha soat o‘tib, Federal rezerv foiz stavkalarini 25 bps ga oshirib 3.75%-4.00% oralig‘iga olib keldi va bundan keyin ham qo‘shimcha qattiqlashuv bo‘lishi mumkinligini ishora qildi. Qog‘ozda bu riskli aktivlar uchun qiyin kombinatsiyaga o‘xshaydi. Bozor esa reaksiyaga kirishdi: • Dow: -1.21% • S&P 500: -0.45% • Nasdaq: -0.01% • AQSh 10Y G‘aznachilik: 5% atrofida Lekin e’tiborimni tortgani sotuvlar emas edi. Uning ostidagi chidamlilik bo‘ldi. NVDA sessiyani ijobiy yakunladi. Texnologiya nisbatan kuchli bo‘lib qoldi. Va $SPCX umumiy makro bosimiga qaramay qariyb 5.1% ga o‘sdi. Unda yomon xabarlar oldindan narxga kiritilganmi? Menimcha, qisman shunday. Fed’ning oshirishi keng kutilgan edi. Katta ajablanish esa keyingi bosqich atrofidagi keskin (qattiq) xabarda bo‘ldi. Lekin yana bir omil bor, men kuzatib boraman: AQSh iqtisodiyoti hali ham kuchini ko‘rsatmoqda. Avgust oyida chakana savdo 1.2% ga oshdi, asosiy savdolar esa 1.4% ga ko‘tarildi. Mening xulosam: Bugun bo‘qcha (bullish) emas edi. Kripto aniq CLARITY bo‘yicha yo‘qotishni his qildi va yuqoriroq daromadlilik (yield) baribir muhim. Lekin bozor o‘zlashtirishi kerak bo‘lgan salbiy ma’lumotlar miqdorini hisobga olsak, keng miqyosli kapitulyatsiyaning bo‘lmagani e’tiborga loyiq. Chidamlilik immunitet bilan bir xil emas. Endi bu kuch keyingi bir necha sessiya davom etishini ko‘rishni xohlayman — yoki bugungi harakat faqat reaksiyani kechiktirgani bo‘ladimi. Sizningcha, yomon xabarlar oldindan narxga kiritilganmi yoki bozor juda ham qulayroq bo‘lib qolyaptimi? Kripto, aksiyalar va makro bo‘yicha yana ko‘proq bozor kuzatuvlari uchun meni kuzatib boring. $BTC $SPCX #CryptoMacro #TradFi #MarketUpdate
🚨 Fed kuni: watchlistim Uoll-Strit va kriptoga ulanadi.
Men Gastón—oddiy ishchi bo‘lib, oylik maoshimdan portfel yig‘yapman va o‘rganganlarimni yozib boryapman.
Bugun kuzatayotganim — 16-sentabr. 👇
📌 Nima bo‘layapti? Fedning 15–16-sentabr kunlari bo‘lib o‘tgan yig‘ilishi bugun yakunlanadi, yangilangan iqtisodiy prognozlar esa rejalashtirilgan. Bu foiz stavkalari va inflyatsiya bo‘yicha istiqbolni asosiy e’tibor markaziga qo‘yadi. "Manba: Federal Reserve" (https://www.federalreserve.gov/monetarypolicy/fomccalendars.htm)
📊 Bozor manzarasi Barron’sning premarket hisobotida S&P 500 fyucherslari 0.24% ga oshgani, Bitcoin esa taxminan $75,853 atrofida ekani va AQShning 10 yillik Treasury daromadliligi 4.975% da ekani ko‘rsatildi. Bular premarket ko‘rsatkichlar, yopilish narxlari emas. "Manba: Barron’s" (https://www.barrons.com/articles/s-p-500-futures-climb-in-premarket-trading-brookfield-infrastructure-avnet-lead-b8d9e610)
🔎 Nega muhim Mening xulosam: qaror muhim, lekin u keyingi bir necha uchrashuv uchun kutilmalarni qanday o‘zgartirishi ham juda muhim. Men obligatsiyalar, aksiyalar va kripto bir xil xabarni tasdiqlaydimi-yo‘qmi, shuni kuzatyapman.
Nimalar diqqatimda: • $BNB: $BTC ga nisbatan nisbiy kuch, spot hajmi va BNB Chain faoliyati narx harakatini qo‘llab-quvvatlayaptimi-yo‘qmi. • $BTC va $ETH: e’lonlardan keyingi harakatlar barqaror spot talabni jalb qilyaptimi. • S&P 500, Nvidia ($NVDA) va Micron ($MU): aksiyalar hosildorliklar (yieldlar) o‘zgarishiga qanday javob berishi. • Strategiya ($MSTR): uning Bitcoinga nisbatan ko‘rsatkichlari.
⚠️ Nazariya tekshiruvi Birinchi harakat teskari bo‘lishi mumkin. Barqaror talab bilan qo‘llab-quvvatlanmagan rally mening ishonchimni pasaytiradi.
An’anaviy bozorlardagi va kriptodagi bozor yangiliklarini, shuningdek tahlilimni ulashib boraman; BNB ga BTC, ETH, SOL va XRP bilan birga alohida urg‘u beraman.
Men qurib, o‘rganib va nuqtalarni bog‘lab borganimda kuzatib boring.
Feddan keyin qaysini birinchi bo‘lib tomosha qilasiz: BNB, Bitcoin yoki S&P 500?
👀 Faqat BITTA ni tanlashingiz mumkin. Binance kripto investorlarining oldiga an’anaviy bozor ta’sirini to‘g‘ridan-to‘g‘ri olib chiqyapti. Quyidagi ro‘yxatdan: $MU — Micron $NVDA — NVIDIA $META — Meta $TSLA — Tesla $SNDK — SanDisk Sizda $1,000 bor va bitta qoida: BITTA ni tanlang va uni 2030-yilgacha ushlab turing. Sotmang. Qaysinisini tanlaysiz — va nega? Men o‘z tanlovimni izohlarda baham ko‘raman. 👇 #TradFi #stock #Investing #BinanceSquare
🚨 Two more Wall Street names are coming on-chain today. Binance is adding GoPro and Reddit bStocks to Spot: • GPROB/USDT • RDDTB/USDT • Trading opens: 12:00 UTC — Sep. 16 • Zero maker fees through Sep. 30 But the bigger story isn't GoPro or Reddit. It's the infrastructure being built between traditional markets and crypto. bStocks give eligible users exposure to tokenized securities within crypto-native infrastructure, although they are not direct ownership of the underlying shares. And adoption is worth watching. Binance Research reports that 80% of tokenized-stock traders on Binance come from emerging markets, while 93% of trades are fractional. My takeaway: Tokenization isn't replacing Wall Street overnight. But the line separating TradFi and crypto infrastructure is becoming increasingly thin. Today it's $RDDTB and $GPROB. The bigger question is what this market looks like when hundreds — or eventually thousands — of traditional assets become accessible through blockchain rails. Are tokenized stocks becoming one of crypto's most important real-world use cases? #RWA #Tokenization #TradFi #BinanceSquare
🚨 Bugun kechqurun kripto izolyatsiyada savdo qilmayapti.
Wall Street yopildi, investorlar qiyin makro kombinatsiyasiga duch kelgani sabab: G‘aznachilik (Treasury) rentabelligi oshishi, neft narxining yuqoriligi va yana bir yirik Fed qarori bir necha soat ichida.
Nima bo‘ldi?
• S&P 500: -0.45% • Nasdaq: -0.78% • Dow: -0.63% • AQSh 10Y Treasury rentabelligi 5% dan yuqoriga chiqdi • Neft $100/barrel ustida qolmoqda
Shu bilan birga, $BTC yana bir o‘ta o‘zgaruvchan sessiyadan keyin bosim ostida qolmoqda.
Nega muhim
Yuqori rentabellik riskli aktivlarni ushlab turishning imkoniyat qiymatini oshiradi.
Qimmat energiya inflyatsiya bosimini yuqoriroq darajada ushlab turishi mumkin.
Va ikkalasi bir vaqtda sodir bo‘lganda, likvidlik sharoitlari aksiyalar UCHUN ham, kripto UCHUN ham yanada muhim bo‘lib qoladi.
Keyingisini nimalarga kuzatyapman
Ertangi Fed qarori.
Faqat foiz qarorining o‘zi emas, balki inflyatsiya, o‘sish va pul-kredit siyosati yo‘li haqidagi xabar.
Mening xulosam:
Hozir men Treasuries → equities → crypto ni bir-biriga ulangan likvidlik tizimi sifatida kuzatyapman — uchta alohida bozor emas.
Keyingi katta harakat kriptodan tashqarida boshlanishi mumkin.
Ertaga Fed ni yoki $BTC narx harakatini ko‘proq kuzatyapsizmi?
5% changes the equation. 🇺🇸 The U.S. 10-Year Treasury yield crossed 5% today — a level not seen since 2023. Why does it matter? At these yields, bonds become increasingly competitive with equities, borrowing gets more expensive, and high valuations face a tougher test. Meanwhile, Wall Street closed lower and semiconductor stocks were hit hard. Now all eyes turn to the Fed. The question isn’t just where stocks go next. It’s how much investors are willing to pay for risk when “safe” money yields ~5%. Would you rather own stocks or Treasuries at these levels? #Stocks #SP500 #Treasuries #Fed #Investing
Bitcoin investors are watching the wrong chart this week. 👀 The Fed meets on September 15–16, and markets are heavily pricing in a 25 bps rate hike. Why should crypto investors care? 📈 Higher rates → tighter financial conditions 🏦 Higher yields → more competition for risk assets ⚡ More uncertainty → more volatility This week, I’m not watching BTC alone. BTC · Fed · Treasury yields · S&P 500 Crypto doesn’t trade in isolation. Do you think the rate hike is already priced in — or is volatility still ahead? #Bitcoin #Fed #Crypto #Stocks #Investing