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Today, the Crypto Assets market has experienced significant Fluctuation, particularly the sharp fall in Bitcoin prices has attracted widespread follow. Analysis indicates that this trend is influenced by multiple factors:
Firstly, the overall decline of the US stock market has created a chain reaction in the Crypto Assets market. As an emerging alternative asset, Crypto Assets often maintain a certain degree of correlation with traditional financial markets.
Secondly, the latest adjustments to the trade policy of the U.S. government, especially the changes in tariff policies, have triggered a risk-averse sentiment in the market. The spread of this sentiment has inevitably affected risk assets, including Crypto Assets.
It is worth noting that Bitcoin spot ETFs saw an outflow of approximately $115 million yesterday. This phenomenon may indicate a shift in investor confidence and is a signal that the market needs to closely follow.
Additionally, the recent remarks by Federal Reserve Chairman Powell have conveyed a hawkish signal. This suggests that the previously anticipated timeline for interest rate cuts may be delayed, creating additional pressure on risk assets.
Overall, the current macroeconomic environment poses short-term challenges to the Crypto Assets market. However, market Fluctuation is the norm, and investors should remain calm, reasonably assess risks, and formulate long-term investment strategies. At the same time, closely follow market dynamics and policy changes, and adjust investment portfolios in a timely manner to seize opportunities in a fluctuating market.