🔴This market consolidation is indeed a bit boring. After drawing a gate over the weekend, it has started to move sideways, and the market hasn't provided much sentiment.



📌 Overall assessment
The current environment leans towards "defensive + mainstream assets first."
Macroeconomic risk aversion is increasing, precious metals are strengthening, combined with short-term volatility in the crypto market,
funds are more inclined towards certainty and liquidity.

📈 BTC
Institutional allocation and the "digital safe haven" narrative are still ongoing,
relatively advantageous, with stronger resistance to decline and better capacity to absorb shocks.

📉 ETH
Short-term pressure, after breaking below a key psychological level,
sentiment and structure resonate, and it is not aggressive until stabilization.

⚠️ Altcoins / DeFi
Sentiment-sensitive, retracements are easily amplified,
control positions, reduce leverage,
currently focusing on defense.

Sideways movement is not afraid of slow progress; what you should fear is not having a clear direction.
BTC0,34%
ETH0,57%
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