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For everyone saying this Bitcoin crash from $126k to $80k is not manipulation please read this. So since the October 10th flash crash which wiped out $19 billion, the biggest liquidation event in the history of crypto: - U.S. Stocks are up 8%, they recovered and many even hit new all-time highs. - But Bitcoin is still down -29% and it never recovered since that day. Every pump we see is getting destroyed by relentless dumping. - Almost every other day we see $500 million getting liquidated from the market. If it was just a leverage it should have been a very short term and the market should have bounced pretty fast but instead we kept dumping without any major bounce. This is not normal. This looks like a few big institutions are playing with the market and liquidating both longs and shorts. Another rumor in town is that many big funds blew up on October 10th and they are selling BTC to cover their losses. I really hope we see bullish Q1 - Q2 2026 with QT ending, rate cuts and multiple other factors which shows we will see a massive amount of liquidity entering the market. What Do you think Manipulation or normal correction ?
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BREAKING: U.S. M2 money supply just hit a new all-time high & Bitcoin always follows it. This chart is one of the biggest signals for crypto right now. US M2 money supply has quietly climbed back to $22.3 trillion, and the pace of expansion is now the fastest since mid-2022. This is the clearest sign that liquidity in the US financial system is turning again. And here’s why that matters: When M2 accelerates → risk assets rally. When M2 slows → crypto bleeds. Right now, M2 is accelerating. What’s driving this liquidity wave? The Fed is expected to keep cutting rates. Lower rates reduce borrowing costs and push capital into higher beta assets like BTC and alts. And that's not all. UBS expects the Fed to start buying ~$40B/month of T-bills in early 2026. This is basically early-stage QE. Not announced publicly, but the expectation is already forming among major institutions. If the Fed begins T-bill purchases on top of rate cuts, the liquidity impact will be massive. What does this mean for the dollar? A combination of: Higher M2, lower interest rates, balance sheet style operations will weaken the dollar over the next few quarters. A weaker dollar is historically one of the strongest drivers of: ⬩ Bitcoin breakouts ⬩ Altcoin expansions ⬩ Risk asset rallies This is why the next liquidity cycle is so important. Crypto reacts first when liquidity turns. In every major cycle: ⬩ 2016-17 liquidity expansion → Bull run ⬩ 2020-21 liquidity expansion → Bull run ⬩ 2026 liquidity expansion → Bull run ??? Most people look only at the price. Very few look at liquidity. But M2 tells the real story: ⬩ Liquidity is expanding again. ⬩ The market hasn’t priced it in. ⬩ Crypto benefits the most. This is one of the strongest macro setups $BTC and altcoins have had since the 2020-21 cycle.
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Crypto Fear and Greed Index has been in "Fear" territory for 5 weeks now. In Q1 2025, this stayed in the "Fear" for 8 weeks before moving higher.
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BREAKING: 🇺🇸 Tom Lee just said “He expects Bitcoin to hit a new all-time high before the end of Jan 2026. ”
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Russell 2000 is the biggest indicator for Altseason and it’s about to hit a new all time high. Same Cycle, Same Breakout Point - Both Russell 2000 and ALTS MCAP peaked in Nov 2021, marking the cycle top. - Both entered a long bear market (2022–2023). - Now, Russell is retesting their Nov 2021 highs, a key resistance zone. - A breakout above these levels confirms the start of a major bull run in 2026. History shows that US Alts market (Russell 2000) and crypto ALTS often move in sync. If Russell breaks out, ETH and alts will follow it. The crypto market is in a state of fear following the 10/10 flash crash and All leverage is flushed which means It’s perfect scenario for parabolic pump to start. Must Eye on Russell as It will give an idea how alts will move in coming weeks.
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