BTC charts showing WHERE we are: đ§”
My view is we are moving higher because macro liquidity is expanding and this geopolitical risk is likely to fade. The Credit cycle is in full swing
Monthly returns for BTC have been positive over the last two months

As I laid out here equities are likely to melt up and BTC will move in lockstep with this.
Bitcoin seasonality shows the drawdown at the beginning of the year is a bit abnormal but we are likely to mean revert off the back of these now


We continue to see the BTC proxy names rally with $CRCL rallying the most and leading the way:

The BTC proxies rallying is an indication of capital moving out the risk curve in a uniform fashion:
MSTR positioning isn't going overbought conditions or massive complacency. There is a marginal implied volatility premium but MSTR is lagging behind BTC which is likely due to the equity weakness.

Similar dynamic in COIN

The net daily flows are still positive on the back on positive MTD and YTD flows into the ETFs. This will continue to be a buyer but as I have said many times, to get BTC to 1m, you need to bring in a lot more buyers who arent hodlers which means a lot more washouts and weak money

Everything is laid out here:
@Globalflows
2,52Â k
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