With 20% of global LNG flowing through Hormuz, the Iran standoff threatens natural gas markets. Analysis of supply risks and geopolitical stakes.
Italy's largest bank expands crypto exposure to $235M, adding XRP and ETH, while Goldman Sachs reduces altcoin positions. Institutional divergence signals shifting sentiment.
Google joins 20+ backers of the x402 protocol under Linux Foundation, as AI crypto sector sheds $2.8B. Analysis of adoption and market impact.
Goldman Sachs fully exited XRP and Solana ETFs in Q1 2026, while slashing Ethereum exposure and boosting stakes in Coinbase and Circle.
Goldman Sachs reduces Solana exposure while Dartmouth College opens a Solana ETF position, signaling divergent institutional strategies.
Goldman Sachs exited XRP and Solana ETFs in Q1 2026, while boosting stakes in Circle, Galaxy Digital, and Coinbase. A strategic pivot from altcoins to Bitcoin and crypto equities.
Bitcoin drops 1.2% amid geopolitical tensions and oil price surge, raising fears of persistent inflation and Fed rate hikes.
While the AI crypto sector lost $2.8B, Injective (INJ) rose 5.4%. We analyze the divergence and what it means for investors.
While the AI crypto sector lost $2.8B, Injective (INJ) gained 5.4%. We analyze the unique factors behind its resilience and what it signals for investors.
Japan's 10-year JGB hits 28-year high while brokerages prepare crypto trusts, signaling a shift in retail investment landscape.
Treasury yields stabilize after a global bond rout, with 10-year yields hitting 15-month highs. Oil prices and inflation fears fuel the selloff.
Rising oil prices from geopolitical tensions are fueling inflation fears, pushing back Fed rate cut expectations and weighing on risk assets like Bitcoin.
The 10-year German bund yield surged to its highest since May 2011, joining a global bond selloff driven by inflation fears and geopolitical tensions.
Japan's 10-year government bond yield surged to its highest since 1997, driven by global inflation fears and rising oil prices.
UK 10-year gilt yields surged to their highest since 2008 amid a global bond selloff driven by US-Iran tensions and inflation fears.
Kospi volatility nears record highs amid $13.2 billion foreign sell-off and geopolitical tensions. Analysis of market impact and outlook.
Gemini AI predicts Bitcoin at $150K by 2026, but Bitcoin Depot's bankruptcy reveals the crumbling retail on-ramp. A tale of structural divergence.
German 10-year bund yields climb amid U.S.-Iran war fears, while crypto funds see heavy outflows. Analysis of risk-off sentiment.
Rising U.S. 10-year yields hit 12-month highs, driving a risk-off shift that pushed Bitcoin below $77K. Geopolitical tensions and inflation fears compound the sell-off.
Novo Nordisk eyes Denmark, UK, and Germany for Wegovy pill launch, targeting global weight loss market beyond US dominance.