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Everyone is concerned about the issues between the US and Iran, so I'll briefly explain. Currently, the US-Iran situation has shifted from a tense standoff preparing for conflict to negotiations over interests and strategic games.
For the market, as long as there is no real escalation, risk aversion sentiment can relax. Why is that? Because if the Middle East conflict truly spirals out of control, safe-haven assets like crude oil, the US dollar, and US Treasuries will flood the global liquidity, and all risk assets will be hammered hard.
And now, the US side is proactively seeking talks, essentially telling everyone: things aren't that bad in the short term, and negotiations are still possible. Do you understand?! Do you understand the significance?!#Gate广场五月交易分享 $BTC