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Macro Ledger Update — Inflation, Yields and Risk Mood
Global risk tone is defensive. The dollar index is firmer near 99.27, the U.S. 10Y yield is around 4.60%, VIX is higher, while S&P/Nasdaq futures ended softer. Gold pulled back sharply and crude remains elevated, keeping inflation and policy risk in focus.
The latest macro read is simple: sticky inflation pressure reduces room for easier Fed policy, so liquidity-sensitive assets remain selective rather than broadly risk-on. Oil and geopolitical headlines can still amplify volatility.
Crypto impact: $BTC is near 79.2K, down about 2.2% over 24h. Key zones to watch are 78.6K-79.0K support and 80.6K-81.0K reclaim; below support, risk stays defensive.
Not financial advice.#Macro #BTC #Crypto #Markets #Gate