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[Analyst: Multiple Factors Needed for Market to Regain Upward Momentum] On November 7, analyst @AxelAdlerJr stated that for the market to return to a risk-on trajectory, multiple factors need to work in tandem, including stabilization or decline in U.S. Treasury yields, the narrowing of the fear index to 14-16, tightening credit spreads, and a weakening upward trend in gold. For cryptocurrencies, Bitcoin needs to establish solid support around $100,000 without further declines, spot ETFs must resume net inflows, and Bitcoin must reassert its position as a globally high-beta asset. If 3-4 of these conditions are met simultaneously for at least 1-2 trading days without new shocks, the market may develop a sustainable risk-on sentiment.