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阻力位 $199.05:這是一個關鍵水平。如果價格強勢突破這個水平,你可能會看到進一步的上漲。
支撐位 $197.50 (EMA 25):這作爲短期支撐。如果價格跌破這個水平,可能表明看漲動能減弱。
免責聲明:包含來自第三方的見解。非財務建議。可能包含贊助內容。
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July they releasing more tokens bro,
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Mt. Gox will begin returning assets to customers in July 2024, more than a decade after it was hacked. The number of bitcoins headed toward former customers is still not certain and could range from 65,000 to as much as 140,000, worth nearly $9 billion at the upper end.
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2hours ago Iran strike on US military base in Syria.. my goodness 😳
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How the markets ll react if strait of hormuz… Oil & Energy Markets 📈 Oil prices would jump 20–50% immediately 📉 Global Stock Markets Major equity indexes (S&P 500, DAX, Nikkei) would sell off quickly — fear of recession due to an oil shock. Travel and airline stocks would take a hit (higher fuel costs = lower profits). 💵 Currency Markets Safe-haven currencies (USD, Swiss franc, Japanese yen) would rise. Oil-importing countries’ currencies (INR, TRY) would face pressure. 🧠 Bonds and Gold • Bond yields would drop (investors buy bonds as a safe haven → prices up). • Gold prices would jump due to its safe-haven status. 🪙 Cryptocurrency • Initially, Bitcoin and risky assets could sell off as part of broad panic.
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Russia ukrain war may involve nato or whole EU in war other hand Iran Isreal have already been bring us in war now in Asia india is very strict on Pakistan and revoke water treaty, these r not good signs for investment or ? 🌍 Why multiple conflicts scare investors: • Russia–Ukraine threatening to draw in NATO/EU means major European instability. • Iran–Israel tension can spike energy prices and create fear of a wider Middle East war. • India–Pakistan water treaty revocation adds regional instability in South Asia. • U.S. involvement adds a global superpower to the mix. When you add all this up: ✅ Investors worry about energy prices (oil and gas). ✅ Fear of supply chain disruption. ✅ Increased military spending can divert money from growth. ✅ Currency fluctuations and less predictable economic policies. ⸻ 💸 Impact on investments: • Risky assets like stocks and cryptocurrencies often see sell-offs in the short term. • Safe-haven assets (gold, USD, sometimes Treasury bonds) tend to do better. • Companies with international exposure often see their shares drop due to these geopolitical risks. • Market volatility usually rises, making short-term trading tougher. ⸻ This isn’t a very stable backdrop for making aggressive investments right now — most investors will probably wait for clarity or shift into safer plays until the dust settles.
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