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Macro Ledger Update - Risk Mood Watch
Global markets are trading defensively: the dollar proxy is firmer, the US 10Y yield is near 4.59%, VIX is higher, and US equity proxies are softer. Oil is steady, but Iran/Hormuz headlines keep an energy-risk premium on the board.
The macro signal is still tight-liquidity: higher yields plus a stronger dollar usually reduce appetite for duration and high-beta assets, while gold and oil remain headline-sensitive.
Crypto impact: BTC is holding near 78.1K after a 77.7K-78.6K 24h range. For $BTC, watch 77.7K/77.6K as nearby support and 78.6K then 79.3K as reclaim zones. A clean reclaim improves risk tone; losing support keeps crypto defensive.
Not financial advice.
#Macro #BTC #Crypto #Markets #Gate