We’ve just hit a four-month low in spot demand, signaling that institutional appetite is currently in a "wait-and-see" mode. With liquidity tightening and market participation feeling more cautious than we’ve seen all year, the current consolidation phase is proving to be a true test of structural support.


Are we looking at a temporary cooling-off period before the next move, or is the market signaling a deeper shift in sentiment?


I’m curious to hear your take—are you using this liquidity dry-up as a chance to re-evaluate your position, or are you staying on the sidelines until we see more conviction? Let’s discuss in the comments.

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