A broad market pullback triggers a synchronized global selloff across risk assets.
🔹Crypto, equities, and commodities all see sharp reversals within a short window.
🔹Billions in open interest are flushed out as funding rates normalize.
🔹Altcoins underperform, with some tokens posting double-digit intraday losses.
🔹Rotation to stable assets and cash positions reflects rising investor caution.
🔹Key catalysts include macro uncertainty, overheated markets, and declining liquidity depth.
This correction acts as a stress test for conviction, risk management, and portfolio resilience.