Spot Bitcoin ETFs saw $648.6M in outflows on May 18, led by BlackRock's IBIT. Geopolitical tensions and rising yields drive institutional risk-off. Analysts see dip as healthy correction.
Revolut launches physical Dogecoin debit card in Europe, highlighting crypto's integration into everyday commerce via card networks.
As Bitcoin drops on macro fears, Grayscale and VanEck's BNB ETF amendments reveal active SEC engagement, hinting at altcoin ETF expansion.
As US-Iran tensions escalate, Iran explores Bitcoin-settled marine insurance for the Strait of Hormuz, potentially bypassing sanctions and reshaping global oil trade.
Fundstrat's Tom Lee links Ethereum's decline to soaring crude oil prices, which have risen 66% in three months amid U.S.-Iran tensions. Oil's inverse correlation with ETH is at a record …
Pakistan emerges as key mediator in Iran-US nuclear negotiations, with Trump threatening military action if talks fail. Oil markets react.
Saudi Arabia leverages blockchain for real-world asset tokenization, targeting a sovereign-grade system by 2030 amid geopolitical tensions.
Qatar plays a key role in US-Iran talks as Trump threatens military action over nuclear deal and Strait of Hormuz closure.
Bitcoin fell below $77,000 amid rising oil prices and geopolitical tensions, triggering a $1B ETF outflow. The macro headwinds may delay Fed rate cuts.
With 20% of global LNG flowing through Hormuz, the Iran standoff threatens natural gas markets. Analysis of supply risks and geopolitical stakes.
Switzerland records $22.8M in crypto inflows amid $1B global outflows, highlighting its safe-haven appeal and regulatory stability.
Bitcoin drops 1.2% amid geopolitical tensions and oil price surge, raising fears of persistent inflation and Fed rate hikes.
David Schwartz donates XRP to John Deaton's Senate campaign, blending personal support with regulatory symbolism. Analysis of the move's impact on crypto politics.
Italy's largest bank expands crypto holdings, including Polkadot, signaling growing institutional adoption of the ecosystem.
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.
China commits to $17 billion annual US agricultural purchases through 2028, while Putin-Xi meeting adds geopolitical layer.
As Trump threatens Iran and G7 meets, Putin and Xi plan talks in Beijing, signaling a shift in global power dynamics.
Kospi volatility nears record highs amid $13.2 billion foreign sell-off and geopolitical tensions. Analysis of market impact and outlook.
German 10-year bund yields climb amid U.S.-Iran war fears, while crypto funds see heavy outflows. Analysis of risk-off sentiment.