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GOLDMAN SACHS CEO IS ALSO A DJ WITH 250,000 MONTHLY SPOTIFY LISTENERS 🎶 Goldman Sachs CEO David Solomon doesn’t just lead one of the world’s top investment banks—he also spins tracks as DJ D-Sol. He’s performed at major music festivals and built a following on Spotify, where he draws over 260,000 monthly listeners. His remix of I Wanna Dance with Somebody (Who Loves Me) has racked up more than 12 million streams. In 2018, he launched Payback Records, a music label that donates all profits to charity. - 🔸 Follow for tech, biz, and market insights {spot}(BTCUSDT) {spot}(ETHUSDT) #GoldmanSachs #DJDSol #MusicAndBusiness #CryptoCommunity #Leadership
GOLDMAN SACHS CEO IS ALSO A DJ WITH 250,000 MONTHLY SPOTIFY LISTENERS 🎶

Goldman Sachs CEO David Solomon doesn’t just lead one of the world’s top investment banks—he also spins tracks as DJ D-Sol.

He’s performed at major music festivals and built a following on Spotify, where he draws over 260,000 monthly listeners. His remix of I Wanna Dance with Somebody (Who Loves Me) has racked up more than 12 million streams.

In 2018, he launched Payback Records, a music label that donates all profits to charity.

-

🔸 Follow for tech, biz, and market insights

#GoldmanSachs #DJDSol #MusicAndBusiness #CryptoCommunity #Leadership
📈 Goldman Sachs Lifts S&P 500 Target to 6,800 by End of 2025 Goldman Sachs is turning more bullish on U.S. equities — raising its S&P 500 year-end 2025 target from 6,600 → 6,800. 🚀 📌 Why the upgrade? Stronger-than-expected equity performance so far this year Resilient corporate earnings holding up against macro pressures Supportive monetary policy expectations, with markets eyeing a friendlier Fed stance 💡 What this means: Despite ongoing uncertainties, Wall Street’s confidence in U.S. equities is growing. If the S&P 500 does reach 6,800, it would represent another milestone in a market that’s already defied bearish predictions. For crypto traders, this matters too — traditional equities often shape risk sentiment across all markets. 👉 Do you think the S&P can push even higher than Goldman’s forecast, or is 6,800 too optimistic? #SP500 #GoldmanSachs #CryptoAndStocks #OroCryptoTrends @Orocryptonc #Write2Earn
📈 Goldman Sachs Lifts S&P 500 Target to 6,800 by End of 2025
Goldman Sachs is turning more bullish on U.S. equities — raising its S&P 500 year-end 2025 target from 6,600 → 6,800. 🚀

📌 Why the upgrade?

Stronger-than-expected equity performance so far this year
Resilient corporate earnings holding up against macro pressures
Supportive monetary policy expectations, with markets eyeing a friendlier Fed stance

💡 What this means:

Despite ongoing uncertainties, Wall Street’s confidence in U.S. equities is growing.

If the S&P 500 does reach 6,800, it would represent another milestone in a market that’s already defied bearish predictions.

For crypto traders, this matters too — traditional equities often shape risk sentiment across all markets.

👉 Do you think the S&P can push even higher than Goldman’s forecast, or is 6,800 too optimistic?

#SP500 #GoldmanSachs #CryptoAndStocks #OroCryptoTrends @OroCryptoTrends #Write2Earn
Goldman Sachs Revises UK Interest Rate Outlook for 2025 and BeyondGoldman Sachs has changed its forecast with respect to the Bank of England interest rates, which suggests a substantial pivot in synthesis of global economic activity. Goldman Sachs has abandoned its thesis of a November 2025 interest rate cut, now forecasting the central bank to remain on hold until February 2026. This palpable economic forecast suggests that the Bank of England unchanged stance on inflation and economic, suggests the relentless combination of still rising inflation and high real interest rates. A New Timeline for Rate Cuts Goldman Sachs now predicts that the next interest rate reduction by the Bank of England will occur in February 2026, along with reductions every three months thereafter. This change corresponds with the institution’s assessment of continued inflation and a stabilizing economy in the United Kingdom. Maintaining a schedule of quarterly reductions puts the foreign the primary balance under the position of both financial and sustainable growth. Goldman Sachs anticipates the terminal interest rate to be England’s 3% target to help in inflation-controlled economic recovery during 2026. Factors Driving the Revision Goldman Sachs’ revised predicted outcome has been influenced by a number of prominent aspects. Recently reported, the UK economy has demonstrated resilience by registering positive growth and a cooling inflation rate, which has lessened the necessity for rate adjustments to be made within the immediate term. Other factors such as global economic uncertainties, the geopolitically driven supply chain, and the shift in energy pricing, have warranted a slowing of the economy, which has been appropriately titled a soft-landing. Little-ever mentioned, the bank of England has concentrate>d it focus on equera strong data based high earning in the prediction market. This in turn gives weight to the expectation of postponed and tapered rate drops. Implications for Businesses and Consumers The revised prediction contains crucial insights pertaining to the businesses and the consumers in the entire United Kingdom. The extended period of high interest rates could raise the cost of borrowing, thus affecting investment spending alongside consumer spending. However, the slow pace of expected cuts may bring some certainty which could help businesses strategize properly. For the immediate future, households will have to contend with elevated mortgage rates and savings yields which may adversely affect affordability but is beneficial to savers. Broader Economic Context The Bank of England remains patient and at the same time is aware of the issues all central banks are having. While inflation remains hot, these days, it is all about keeping the prices stable. Employment and expansion are only secondary. Some phase rate cuts, and some do not. Goldman Sachs seem to be confident about the fact that UK economy is doing fine. It is this perception that explains their forecasting behavior. Long-term equilibrium is represented beautifully in these rate cuts. Looking Ahead All over the globe, investors, and decision-makers remain focused to the incoming economic data, inflation reports, wages, and other economic sector reports, while the Bank of England readies itself for more policy changes. The revision made by Goldman Sachs serves to illustrate the necessity of permeable strategy in layers of economic complexity. The pathway to a terminal rate of three percent by the end of 2026 is straightforward in itself, however sudden changes in circumstances, whether on a global scale or domestically, would require a re-think. Such shifts bring to the forefront the delicate relationship between growth, policy, and the balance of finance and economic. The forthcoming months will be crucial for the Bank of England, as they will be required to address such matters with delicate care. #UK #BankOfEngland #GoldManSachs #MonetaryPolicy #EconomicForecast

Goldman Sachs Revises UK Interest Rate Outlook for 2025 and Beyond

Goldman Sachs has changed its forecast with respect to the Bank of England interest rates, which suggests a substantial pivot in synthesis of global economic activity. Goldman Sachs has abandoned its thesis of a November 2025 interest rate cut, now forecasting the central bank to remain on hold until February 2026. This palpable economic forecast suggests that the Bank of England unchanged stance on inflation and economic, suggests the relentless combination of still rising inflation and high real interest rates.
A New Timeline for Rate Cuts
Goldman Sachs now predicts that the next interest rate reduction by the Bank of England will occur in February 2026, along with reductions every three months thereafter. This change corresponds with the institution’s assessment of continued inflation and a stabilizing economy in the United Kingdom. Maintaining a schedule of quarterly reductions puts the foreign the primary balance under the position of both financial and sustainable growth. Goldman Sachs anticipates the terminal interest rate to be England’s 3% target to help in inflation-controlled economic recovery during 2026.
Factors Driving the Revision
Goldman Sachs’ revised predicted outcome has been influenced by a number of prominent aspects. Recently reported, the UK economy has demonstrated resilience by registering positive growth and a cooling inflation rate, which has lessened the necessity for rate adjustments to be made within the immediate term. Other factors such as global economic uncertainties, the geopolitically driven supply chain, and the shift in energy pricing, have warranted a slowing of the economy, which has been appropriately titled a soft-landing. Little-ever mentioned, the bank of England has concentrate>d it focus on equera strong data based high earning in the prediction market. This in turn gives weight to the expectation of postponed and tapered rate drops.
Implications for Businesses and Consumers
The revised prediction contains crucial insights pertaining to the businesses and the consumers in the entire United Kingdom. The extended period of high interest rates could raise the cost of borrowing, thus affecting investment spending alongside consumer spending. However, the slow pace of expected cuts may bring some certainty which could help businesses strategize properly. For the immediate future, households will have to contend with elevated mortgage rates and savings yields which may adversely affect affordability but is beneficial to savers.
Broader Economic Context
The Bank of England remains patient and at the same time is aware of the issues all central banks are having. While inflation remains hot, these days, it is all about keeping the prices stable. Employment and expansion are only secondary. Some phase rate cuts, and some do not. Goldman Sachs seem to be confident about the fact that UK economy is doing fine. It is this perception that explains their forecasting behavior. Long-term equilibrium is represented beautifully in these rate cuts.
Looking Ahead
All over the globe, investors, and decision-makers remain focused to the incoming economic data, inflation reports, wages, and other economic sector reports, while the Bank of England readies itself for more policy changes. The revision made by Goldman Sachs serves to illustrate the necessity of permeable strategy in layers of economic complexity. The pathway to a terminal rate of three percent by the end of 2026 is straightforward in itself, however sudden changes in circumstances, whether on a global scale or domestically, would require a re-think.
Such shifts bring to the forefront the delicate relationship between growth, policy, and the balance of finance and economic. The forthcoming months will be crucial for the Bank of England, as they will be required to address such matters with delicate care.

#UK #BankOfEngland #GoldManSachs #MonetaryPolicy #EconomicForecast
🔍 Goldman Sachs quietly stacking Bitcoin ETFs! 🏦🔥#Goldman ’s latest 13F filing with the SEC confirms their Bitcoin exposure (via ETFs) as of Dec 31—post U.S. elections. 🇺🇸 📈$1.27B in IBIT (24M+ shares) – +88% from last quarter 📈$288M in FBTC (3.5M shares) – +105% from last quarter Forget what institutions say about Bitcoin—watch what they do. 👀🚀 #GoldManSachs #SEC

🔍 Goldman Sachs quietly stacking Bitcoin ETFs! 🏦🔥

#Goldman ’s latest 13F filing with the SEC confirms their Bitcoin exposure (via ETFs) as of Dec 31—post U.S. elections. 🇺🇸

📈$1.27B in IBIT (24M+ shares) – +88% from last quarter
📈$288M in FBTC (3.5M shares) – +105% from last quarter

Forget what institutions say about Bitcoin—watch what they do. 👀🚀
#GoldManSachs #SEC
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Hausse
🚀 #Ethereum Breaks Out—Is $3,000 Next? 🚀 $ETH has broken out of a bullish pattern, with whale accumulation and institutional inflows signaling strong confidence. Analysts compare this setup to last year’s parabolic rally! 📊 Key Bullish Signals: 🔹 ETH trading at $2,692, breaking a falling wedge 📈 🔹 Whales withdrew 224K ETH from exchanges—largest in 23 months 🐋 🔹 Institutional inflows hit $400M last week and #GoldManSachs  bought $450M IN ETH ETF 💰 🔹 RSI & MACD indicators suggest growing momentum With #Trump rumors, lower gas fees, and growing demand, can #ETH push past $3,000 and target $4,000? 🤔🔥 #Write2Earn
🚀 #Ethereum Breaks Out—Is $3,000 Next? 🚀

$ETH has broken out of a bullish pattern, with whale
accumulation and institutional inflows signaling strong
confidence. Analysts compare this setup to last year’s
parabolic rally!

📊 Key Bullish Signals:
🔹 ETH trading at $2,692, breaking a falling wedge 📈
🔹 Whales withdrew 224K ETH from exchanges—largest in 23
months 🐋
🔹 Institutional inflows hit $400M last week and #GoldManSachs  bought $450M IN ETH ETF 💰
🔹 RSI & MACD indicators suggest growing momentum

With #Trump rumors, lower gas fees, and growing demand, can #ETH push past $3,000 and target $4,000? 🤔🔥

#Write2Earn
Bitcoin Q4 Holdings (Goldman)!!! Goldman Sachs loaded up on the two largest spot Bitcoin exchange-traded funds in the final quarter of 2024, according to the investment banking giant’s latest 13F filed Tuesday. 13f filings are a way to get a glimpse into how the largest portfolios and some of the most influential money managers play the market. As of Dec. 31, Goldman Sachs owns $1.27 billion (or 24.07 million shares) of BlackRock’s iShares Bitcoin Trust ETF (IBIT), the largest spot Bitcoin ETF by assets under management. This represents an 88% increase in the amount of shares Goldman owned in the prior quarter. Goldman Sachs also upped its holdings of the Fidelity Wise Origin Bitcoin Fund, owning $288 million in FBTC (3.5 million shares). This is a 105% increase in shares from the previous period. Goldman also reported smaller Bitcoin ETF positions that either decreased or were closed. Each quarter, institutional investment managers with at least $100 million in equity assets under management file 13F reports with the U.S. Securities and Exchange Commission. The filings, which are required within 45 days of the end of each quarter, provide a view of the manager's stock holdings. Thankyou and thanks for your precious time #BitcoinReserve #GoldManSachs #crypto #CryptoNewss #BTCStateReserves $BTC {spot}(BTCUSDT)
Bitcoin Q4 Holdings (Goldman)!!!

Goldman Sachs loaded up on the two largest spot Bitcoin exchange-traded funds in the final quarter of 2024, according to the investment banking giant’s latest 13F filed Tuesday. 13f filings are a way to get a glimpse into how the largest portfolios and some of the most influential money managers play the market.

As of Dec. 31, Goldman Sachs owns $1.27 billion (or 24.07 million shares) of BlackRock’s iShares Bitcoin Trust ETF (IBIT), the largest spot Bitcoin ETF by assets under management. This represents an 88% increase in the amount of shares Goldman owned in the prior quarter.

Goldman Sachs also upped its holdings of the Fidelity Wise Origin Bitcoin Fund, owning $288 million in FBTC (3.5 million shares). This is a 105% increase in shares from the previous period. Goldman also reported smaller Bitcoin ETF positions that either decreased or were closed.

Each quarter, institutional investment managers with at least $100 million in equity assets under management file 13F reports with the U.S. Securities and Exchange Commission. The filings, which are required within 45 days of the end of each quarter, provide a view of the manager's stock holdings.

Thankyou and thanks for your precious time #BitcoinReserve #GoldManSachs #crypto #CryptoNewss #BTCStateReserves $BTC
Goldman Sachs Lần Đầu Đề Cập Crypto Trong Thư Gửi Cổ Đông – Dấu Hiệu Gì Cho Thị Trường? #GoldManSachs vừa lần đầu tiên nhắc đến tiền mã hóa trong thư gửi cổ đông thường niên, công nhận tầm quan trọng ngày càng lớn của tài sản số trong tài chính toàn cầu. Ngân hàng cho biết sự phát triển của công nghệ sổ cái phi tập trung, crypto và AI đã làm gia tăng cạnh tranh trong ngành. Tuy nhiên, họ cũng cảnh báo rủi ro tiềm ẩn như tấn công mạng, biến động thị trường và các vấn đề pháp lý. Dù thận trọng, Goldman Sachs vẫn không ngừng mở rộng sự hiện diện trong lĩnh vực crypto. Họ đang nắm giữ hơn 1,5 tỷ USD trong các #ETF Bitcoin và Ethereum, đồng thời xem xét hỗ trợ giao dịch $BTC và $ETH nếu môi trường pháp lý thuận lợi. Ngoài ra, ngân hàng này có kế hoạch tách bộ phận quản lý tài sản số thành công ty riêng để tập trung vào token hóa tài sản theo xu hướng Real World Assets (RWA). Động thái này phản ánh xu hướng ngày càng nhiều tổ chức tài chính lớn như BlackRock và Goldman Sachs công nhận vai trò của crypto trong danh mục đầu tư. #anhbacong {future}(BTCUSDT) {spot}(BNBUSDT) {future}(ETHUSDT) Cảnh báo rủi ro: Đầu tư vào crypto có tính biến động cao và không dành cho tất cả mọi người. Hãy nghiên cứu kỹ trước khi tham gia thị trường.
Goldman Sachs Lần Đầu Đề Cập Crypto Trong Thư Gửi Cổ Đông – Dấu Hiệu Gì Cho Thị Trường?

#GoldManSachs vừa lần đầu tiên nhắc đến tiền mã hóa trong thư gửi cổ đông thường niên, công nhận tầm quan trọng ngày càng lớn của tài sản số trong tài chính toàn cầu.

Ngân hàng cho biết sự phát triển của công nghệ sổ cái phi tập trung, crypto và AI đã làm gia tăng cạnh tranh trong ngành. Tuy nhiên, họ cũng cảnh báo rủi ro tiềm ẩn như tấn công mạng, biến động thị trường và các vấn đề pháp lý.

Dù thận trọng, Goldman Sachs vẫn không ngừng mở rộng sự hiện diện trong lĩnh vực crypto. Họ đang nắm giữ hơn 1,5 tỷ USD trong các #ETF Bitcoin và Ethereum, đồng thời xem xét hỗ trợ giao dịch $BTC $ETH nếu môi trường pháp lý thuận lợi. Ngoài ra, ngân hàng này có kế hoạch tách bộ phận quản lý tài sản số thành công ty riêng để tập trung vào token hóa tài sản theo xu hướng Real World Assets (RWA).

Động thái này phản ánh xu hướng ngày càng nhiều tổ chức tài chính lớn như BlackRock và Goldman Sachs công nhận vai trò của crypto trong danh mục đầu tư. #anhbacong



Cảnh báo rủi ro: Đầu tư vào crypto có tính biến động cao và không dành cho tất cả mọi người. Hãy nghiên cứu kỹ trước khi tham gia thị trường.
Goldman Sachs Pangkas Proyeksi Pertumbuhan Ekonomi AS: Perang Dagang Jadi Ancaman Serius? Ekonomi AS di Ujung Tanduk? Goldman Sachs baru saja menurunkan proyeksi pertumbuhan ekonomi AS untuk tahun ini, mengutip ketidakpastian global dan meningkatnya ketegangan perang dagang sebagai faktor utama. Bank investasi raksasa ini kini memperkirakan pertumbuhan ekonomi AS hanya akan mencapai X%, turun dari estimasi sebelumnya yang lebih optimis. Perang Dagang Kembali Memanas! Perang dagang yang semakin memanas dengan negara-negara besar, terutama China, menjadi ancaman serius bagi ekonomi AS. Peningkatan tarif, hambatan ekspor, dan ketegangan geopolitik menciptakan tekanan besar terhadap sektor manufaktur dan perdagangan. Sejumlah ekonom memperingatkan bahwa jika perang dagang terus berlanjut, AS bisa mengalami perlambatan ekonomi yang lebih tajam. Dampaknya bisa meluas ke pasar keuangan, investasi, dan daya beli masyarakat. Dampak bagi Pasar Keuangan & Kripto? Pasar saham bergejolak: Investor mulai menarik diri dari aset berisiko, menyebabkan penurunan indeks utama. Dolar AS berpotensi melemah: Jika ketidakpastian meningkat, investor bisa beralih ke aset safe haven seperti emas dan Bitcoin. Kripto bisa jadi pilihan utama: Dengan ketidakpastian ekonomi, banyak investor yang mulai melihat Bitcoin dan aset digital lain sebagai lindung nilai terhadap inflasi dan ketidakstabilan pasar tradisional. Apa Langkah Selanjutnya? Goldman Sachs menyarankan investor untuk lebih berhati-hati dalam menghadapi ketidakpastian ekonomi global. Sementara itu, para trader dan investor kripto harus mencermati potensi dampak dari kebijakan perdagangan dan pergerakan pasar global untuk mengantisipasi peluang cuan di tengah volatilitas tinggi. Apakah perang dagang ini justru bisa jadi momentum bagi Bitcoin untuk bersinar? Bagikan pendapatmu di kolom komentar! Jangan lupa share artikel ini agar makin banyak orang yang tahu situasi ekonomi global! #GoldmanSachs #MarketPullback #BinanceAlphaAlert #WhaleAccumulation #CryptoMarketWatch $BTC $ETH $XRP
Goldman Sachs Pangkas Proyeksi Pertumbuhan Ekonomi AS: Perang Dagang Jadi Ancaman Serius?

Ekonomi AS di Ujung Tanduk?

Goldman Sachs baru saja menurunkan proyeksi pertumbuhan ekonomi AS untuk tahun ini, mengutip ketidakpastian global dan meningkatnya ketegangan perang dagang sebagai faktor utama. Bank investasi raksasa ini kini memperkirakan pertumbuhan ekonomi AS hanya akan mencapai X%, turun dari estimasi sebelumnya yang lebih optimis.

Perang Dagang Kembali Memanas!

Perang dagang yang semakin memanas dengan negara-negara besar, terutama China, menjadi ancaman serius bagi ekonomi AS. Peningkatan tarif, hambatan ekspor, dan ketegangan geopolitik menciptakan tekanan besar terhadap sektor manufaktur dan perdagangan.

Sejumlah ekonom memperingatkan bahwa jika perang dagang terus berlanjut, AS bisa mengalami perlambatan ekonomi yang lebih tajam. Dampaknya bisa meluas ke pasar keuangan, investasi, dan daya beli masyarakat.

Dampak bagi Pasar Keuangan & Kripto?

Pasar saham bergejolak: Investor mulai menarik diri dari aset berisiko, menyebabkan penurunan indeks utama.

Dolar AS berpotensi melemah: Jika ketidakpastian meningkat, investor bisa beralih ke aset safe haven seperti emas dan Bitcoin.

Kripto bisa jadi pilihan utama: Dengan ketidakpastian ekonomi, banyak investor yang mulai melihat Bitcoin dan aset digital lain sebagai lindung nilai terhadap inflasi dan ketidakstabilan pasar tradisional.

Apa Langkah Selanjutnya?

Goldman Sachs menyarankan investor untuk lebih berhati-hati dalam menghadapi ketidakpastian ekonomi global. Sementara itu, para trader dan investor kripto harus mencermati potensi dampak dari kebijakan perdagangan dan pergerakan pasar global untuk mengantisipasi peluang cuan di tengah volatilitas tinggi.

Apakah perang dagang ini justru bisa jadi momentum bagi Bitcoin untuk bersinar? Bagikan pendapatmu di kolom komentar!

Jangan lupa share artikel ini agar makin banyak orang yang tahu situasi ekonomi global!

#GoldmanSachs #MarketPullback #BinanceAlphaAlert #WhaleAccumulation #CryptoMarketWatch

$BTC $ETH $XRP
#GoldManSachs 🚨 Goldman Sachs cuts US Treasury yield forecasts, expects earlier Fed rate cuts! 📉 Analysts now predict 2-year yields at 3.45% and 10-year at 4.20% by end-2025, down from 3.85% and 4.50%. Fed cuts now eyed for Sept, Oct, and Dec, not just one late-year cut. Despite strong labor data, Goldman stands firm, citing distorted figures from government hiring and lower labor participation. Meanwhile, $11B in long-term bond funds dumped in Q2 2025, ending a 3-year inflow streak. Investors are spooked by rising inflation and growing gov’t debt, says PGIM’s Robert Tipp. 📊 {future}(BTCUSDT)
#GoldManSachs
🚨 Goldman Sachs cuts US Treasury yield forecasts, expects earlier Fed rate cuts! 📉

Analysts now predict 2-year yields at 3.45% and 10-year at 4.20% by end-2025, down from 3.85% and 4.50%. Fed cuts now eyed for Sept, Oct, and Dec, not just one late-year cut. Despite strong labor data, Goldman stands firm, citing distorted figures from government hiring and lower labor participation.
Meanwhile, $11B in long-term bond funds dumped in Q2 2025, ending a 3-year inflow streak. Investors are spooked by rising inflation and growing gov’t debt, says PGIM’s Robert Tipp. 📊
🚨 BIG MOVE: Goldman Sachs is going 24/7 with tokenized US Treasurys & money market funds! No Crypto -> Need Crypto 🤣 This is real adoption. #TOKEN2049 #CryptoNews #GoldManSachs $BTC $TRUMP $OM
🚨 BIG MOVE: Goldman Sachs is going 24/7 with tokenized US Treasurys & money market funds!

No Crypto -> Need Crypto 🤣

This is real adoption.

#TOKEN2049 #CryptoNews #GoldManSachs $BTC $TRUMP $OM
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Hausse
BRUTAL el rally alcista global no es casualidad… ¡los fondos sistemáticos están comprando como locos! Goldman Sachs estima que podrían inyectar más de $107 mil millones en acciones globales el próximo mes 📊💰 ¿Y lo más loco? Lo harían aunque no haya novedades macro. 💡 Esto no es solo FOMO: es presión algorítmica, automatizada y calculada. El dinero inteligente no espera, actúa cuando el mercado está “tranquilo”. ¿Será esta la antesala de un nuevo impulso para Bitcoin y las cripto, si la liquidez sigue fluyendo? 🚀 #FondosSistemáticos #GoldManSachs #RallyGlobal #CryptoOpinions #BinanceSquare #MercadosFinancieros #Bitcoin #WallStreet #Liquidez #Acciones #CriptoYFinanzas #BTC #Web3
BRUTAL el rally alcista global no es casualidad… ¡los fondos sistemáticos están comprando como locos!

Goldman Sachs estima que podrían inyectar más de $107 mil millones en acciones globales el próximo mes 📊💰

¿Y lo más loco? Lo harían aunque no haya novedades macro.

💡 Esto no es solo FOMO: es presión algorítmica, automatizada y calculada.

El dinero inteligente no espera, actúa cuando el mercado está “tranquilo”.

¿Será esta la antesala de un nuevo impulso para Bitcoin y las cripto, si la liquidez sigue fluyendo? 🚀

#FondosSistemáticos #GoldManSachs #RallyGlobal #CryptoOpinions #BinanceSquare #MercadosFinancieros #Bitcoin #WallStreet #Liquidez #Acciones #CriptoYFinanzas #BTC #Web3
#GoldManSachs 🚀 Goldman Sachs predicts a stock market surge in 2026, driven by three major tailwinds! 🌍 🔹 US: Trump’s “big beautiful bill” paired with AI & robotics is set to spark a credit boom and fiscal expansion. 🔹 Germany: Boosting defense spending, fueling economic growth. 🔹 China: Holding strong in AI & robotics with credit and fiscal expansion. ⚠️ Near-term hurdle: Tariffs may hit corporations or consumers (~$250-300B, 1% of GDP). But once absorbed, expect a rebound with bonus depreciation, Social Security tax benefits, and lower taxes on tips boosting the US economy! 💪
#GoldManSachs
🚀 Goldman Sachs predicts a stock market surge in 2026, driven by three major tailwinds! 🌍
🔹 US: Trump’s “big beautiful bill” paired with AI & robotics is set to spark a credit boom and fiscal expansion.
🔹 Germany: Boosting defense spending, fueling economic growth.
🔹 China: Holding strong in AI & robotics with credit and fiscal expansion.
⚠️ Near-term hurdle: Tariffs may hit corporations or consumers (~$250-300B, 1% of GDP). But once absorbed, expect a rebound with bonus depreciation, Social Security tax benefits, and lower taxes on tips boosting the US economy! 💪
Goldman Sachs anticipa recortes de tasas en EE.UU.: ¿Se viene un rally para Bitcoin?💼 Goldman Sachs, uno de los gigantes de Wall Street con $3 BILLONES bajo gestión, acaba de lanzar una proyección que podría cambiar el rumbo de los mercados: 🏦 La FED comenzaría a recortar tasas en septiembre y haría 3 recortes en total durante 2025. 🔍 ¿Por qué es importante? La expectativa es que la Reserva Federal modere su política monetaria para proteger el crecimiento económico en un contexto de desaceleración inflacionaria y señales de enfriamiento laboral. Esto podría implicar: 🔹 Mayor liquidez en el mercado 🔹 Incentivo al consumo e inversión 🔹 Presión bajista sobre el dólar 🔹 Potencial impulso para activos de riesgo como Bitcoin, acciones y cripto en general 💥 Impacto cripto: ¿nuevo ciclo alcista? El mercado cripto suele reaccionar positivamente a recortes de tasas, ya que implican: 📈 Mayor apetito por riesgo 💵 Flujo de capital hacia activos descentralizados 🚀 Posible reactivación de altcoins y tokens DeFi 📊 Si la FED realmente inicia un ciclo de recortes en septiembre, podríamos estar viendo el catalizador que los toros de Bitcoin estaban esperando. {spot}(ETHUSDT) #Bitcoin #CriptoNews #GoldManSachs #tasasdeinteres #FED #BinanceSquare #CryptoBullRun #BTC #MacroCripto #Ethereum #Altcoins #WallStreet #Inflación

Goldman Sachs anticipa recortes de tasas en EE.UU.: ¿Se viene un rally para Bitcoin?

💼 Goldman Sachs, uno de los gigantes de Wall Street con $3 BILLONES bajo gestión, acaba de lanzar una proyección que podría cambiar el rumbo de los mercados:

🏦 La FED comenzaría a recortar tasas en septiembre y haría 3 recortes en total durante 2025.

🔍 ¿Por qué es importante?

La expectativa es que la Reserva Federal modere su política monetaria para proteger el crecimiento económico en un contexto de desaceleración inflacionaria y señales de enfriamiento laboral.

Esto podría implicar:

🔹 Mayor liquidez en el mercado

🔹 Incentivo al consumo e inversión

🔹 Presión bajista sobre el dólar

🔹 Potencial impulso para activos de riesgo como Bitcoin, acciones y cripto en general

💥 Impacto cripto: ¿nuevo ciclo alcista?

El mercado cripto suele reaccionar positivamente a recortes de tasas, ya que implican:

📈 Mayor apetito por riesgo

💵 Flujo de capital hacia activos descentralizados

🚀 Posible reactivación de altcoins y tokens DeFi

📊 Si la FED realmente inicia un ciclo de recortes en septiembre, podríamos estar viendo el catalizador que los toros de Bitcoin estaban esperando.


#Bitcoin #CriptoNews #GoldManSachs #tasasdeinteres #FED #BinanceSquare #CryptoBullRun #BTC #MacroCripto #Ethereum #Altcoins #WallStreet #Inflación
Two of Wall Street's biggest names (Goldman Sachs and BNY Mellon) just brought money markets on-chain. This shift could unlock a new era of 24/7 liquidity, instant settlement, and tokenized yield-bearing assets. 📰 #GoldManSachs
Two of Wall Street's biggest names (Goldman Sachs and BNY Mellon) just brought money markets on-chain.

This shift could unlock a new era of 24/7 liquidity, instant settlement, and tokenized yield-bearing assets. 📰
#GoldManSachs
🚨 DERNIÈRES NOUVELLES : Goldman Sachs s'attend à ce que la Fed réduise ses taux d'intérêt à trois reprises avant la fin de l'année, alors que le marché du travail américain s'affaiblit. #fed #GoldManSachs $BTC
🚨 DERNIÈRES NOUVELLES : Goldman Sachs s'attend à ce que la Fed réduise ses taux d'intérêt à trois reprises avant la fin de l'année, alors que le marché du travail américain s'affaiblit.
#fed #GoldManSachs
$BTC
Економічний Апокаліпсис на горизонті рецесія в США та Тарифний Шторм!☄️Фондові ринки: Падіння в Безодню $BTC на фінансовому небосхилі знищуються хмари,віщуючи неминучий економічний апокаліпсис. Рецесія в Сполучених Штатах, підсилена руйнівними тарифами штормом, загрожує поглинути ринки в хаос. ☄️Криптовалюти: Між Сциллою та Харибдою 🔹Ринок криптовалют, наче корабель, що потрапив між Сциллою таХарибдою, балансує на межі невідомості. Біткоїн ($BTC ),оповитий ореолом "цифрового золота", намагається протистояти економічному шторму. Проте, як інші ризиковані активи, він може стати жертвою загального розпродажу. ☄️Валютні ринки: Долар у Вирі Кризи 🔹Долар США, колись непохитний, опиняється у вирі кризи. Інвестори, шукаючи притулку, тікаючи до безпечних валют, наче до оазисів у пустелі. Тарифний Шторм, як отруйна стріла, пронизує долар, підриваючи його стабільність. ☄️Тарифний Шторм: Удар Громом по Економіці 🔹Тарифний Шторм, мов удар грому, розвиває економіку на шматки. Уряди, охоплені протекціонізмом, вводять нові тарифи,спричиняючи зростання цін, падіння попиту та руйнування ланцюгів постачання. Це створює економічний хаос і підвищує ризики рецесії до небес. ☄️Пророцтва: Віщуни Апокаліпсису 🔹Віщуни економічного апокаліпсису, експерти з федерального резервного банку Нью-Йорка,#DeutscheBank та #GoldManSachs , б'ють на сполох. Вони пророкують рецесію, як неминучу кару,тз ймовірністю 35% . Слабкість ринку праці, наче тріщина в дамбі, загрожує прорвати економічні укріплення. ☄️Біткоїн: На Межі Виживання 🔹Біткоїн $BTC , наче Фенікс, що намагається відродитися з попелу, бореться за виживанн. З одного боку, він може виграти від статусу цифрового золота та інтересу інвесторів до альтернативних активів. З іншого боку, він може стати жертвою загального падіння апетиту до ризику. ☄️Заклик до Обережності: Готуйтеся до Бурі 🔹Інвестори, наче моряки перед штормом, повинні бути обережними та ретельно оцінювати ризики. Диверсифікація портфеля та інвестування в безпечніші активи, наче рятувальний круг, можуть врятувати від економічного краху. ☄️Непередбачуваність: Темні Коні Апокаліпсису 🔹Наслідки економічної нестабільності, наче темні коні Апокаліпсису, передбачувані. Будьте пильні, слідкуйте за ринковими коливаннями, і готуйтеся до неминучої бурі. {future}(BTCUSDT)

Економічний Апокаліпсис на горизонті рецесія в США та Тарифний Шторм!

☄️Фондові ринки: Падіння в Безодню
$BTC на фінансовому небосхилі знищуються хмари,віщуючи неминучий економічний апокаліпсис. Рецесія в Сполучених Штатах, підсилена руйнівними тарифами штормом, загрожує поглинути ринки в хаос.
☄️Криптовалюти: Між Сциллою та Харибдою
🔹Ринок криптовалют, наче корабель, що потрапив між Сциллою таХарибдою, балансує на межі невідомості. Біткоїн ($BTC ),оповитий ореолом "цифрового золота", намагається протистояти економічному шторму. Проте, як інші ризиковані активи, він може стати жертвою загального розпродажу.
☄️Валютні ринки: Долар у Вирі Кризи
🔹Долар США, колись непохитний, опиняється у вирі кризи. Інвестори, шукаючи притулку, тікаючи до безпечних валют, наче до оазисів у пустелі. Тарифний Шторм, як отруйна стріла, пронизує долар, підриваючи його стабільність.
☄️Тарифний Шторм: Удар Громом по Економіці
🔹Тарифний Шторм, мов удар грому, розвиває економіку на шматки. Уряди, охоплені протекціонізмом, вводять нові тарифи,спричиняючи зростання цін, падіння попиту та руйнування ланцюгів постачання. Це створює економічний хаос і підвищує ризики рецесії до небес.
☄️Пророцтва: Віщуни Апокаліпсису
🔹Віщуни економічного апокаліпсису, експерти з федерального резервного банку Нью-Йорка,#DeutscheBank та #GoldManSachs , б'ють на сполох. Вони пророкують рецесію, як неминучу кару,тз ймовірністю 35% . Слабкість ринку праці, наче тріщина в дамбі, загрожує прорвати економічні укріплення.
☄️Біткоїн: На Межі Виживання
🔹Біткоїн $BTC , наче Фенікс, що намагається відродитися з попелу, бореться за виживанн. З одного боку, він може виграти від статусу цифрового золота та інтересу інвесторів до альтернативних активів. З іншого боку, він може стати жертвою загального падіння апетиту до ризику.
☄️Заклик до Обережності: Готуйтеся до Бурі
🔹Інвестори, наче моряки перед штормом, повинні бути обережними та ретельно оцінювати ризики. Диверсифікація портфеля та інвестування в безпечніші активи, наче рятувальний круг, можуть врятувати від економічного краху.
☄️Непередбачуваність: Темні Коні Апокаліпсису
🔹Наслідки економічної нестабільності, наче темні коні Апокаліпсису, передбачувані. Будьте пильні, слідкуйте за ринковими коливаннями, і готуйтеся до неминучої бурі.
Goldman Sachs plans 24/7 trading for tokenized treasuries and money market funds #GoldmanSachs is preparing to launch round-the-clock trading for tokenized U.S. Treasuries and money market fund shares, according to its digital assets chief Mathew McDermott. The initiative is part of a broader push to bring traditional financial products onto #blockchain infrastructure. The bank is also developing three tokenization projects for 2025, including a U.S. fund token and a euro-denominated digital bond. Regulatory shifts in the U.S. have eased restrictions on crypto-related banking activities, enabling firms like Goldman to explore new digital asset services.
Goldman Sachs plans 24/7 trading for tokenized treasuries and money market funds

#GoldmanSachs is preparing to launch round-the-clock trading for tokenized U.S. Treasuries and money market fund shares, according to its digital assets chief Mathew McDermott. The initiative is part of a broader push to bring traditional financial products onto #blockchain infrastructure. The bank is also developing three tokenization projects for 2025, including a U.S. fund token and a euro-denominated digital bond. Regulatory shifts in the U.S. have eased restrictions on crypto-related banking activities, enabling firms like Goldman to explore new digital asset services.
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