Daily News6 Min Read darkexonNovember 18, 2025 Crypto Markets Under Pressure as BTC Drops to $90.7K BTC drops to $89K as Fed uncertainty and global risks intensify. ETH holds key support, while SOL, XRP, DOGE, SHIB show mixed signals.
Daily Technical Analysis9 Min Read darkexonNovember 17, 2025 Crypto Market Pullback: Key Levels Tested Across Majors Evening crypto markets fall as BTC and ETH face selling pressure; key support levels tested across major assets.
Daily Technical Analysis10 Min Read darkexonSeptember 17, 2025 Fed Cut Sparks Crypto Moves: BTC at 117K, ETH Rebounds, Altcoins Mixed (Sep 16, 2025) BTC tests 117K as Fed confirms a 25 bp cut, ETH rebounds above $4,500, XRP steadies at $2.99, while SOL, DOGE, AVAX, BNB, and ADA show mixed…
Daily News3 Min Read darkexonJuly 30, 2025 Trump’s Fed Pressure, Bitcoin Futures Expiry On July 25, global markets react to Trump’s Fed visit, weak US durable goods orders, and Bitcoin futures expiration. Get full macro insights.
Daily Bulletin3 Min Read darkexonJuly 25, 2025 Trump’s Fed Pressure, Bitcoin Futures Expiry, Durable Goods Data On July 25, global markets react to Trump’s Fed visit, weak US durable goods orders, and Bitcoin futures expiration. Get full macro insights.
Daily Bulletin2 Min Read darkexonJuly 7, 2025 Trump Tariff Threats Stir Markets Ahead of ADP Jobs Data Markets eye Trump’s tariff moves and ADP data as Fed rate cut bets grow. Senate passes $3.3T tax bill.
Daily News3 Min Read darkexonJune 16, 2025 Bitcoin Gains Ground Despite Global Tensions BTC rebounds near 106,800 as institutional demand rises and volatility remains high amid Middle East turmoil and trade talks.
Market Pulse6 Min Read darkexonMarch 28, 2025 2025 First Quarter: Bitcoin Market Volatility and Macroeconomic Impacts Bitcoin saw high volatility in Q1 2025 as macro risks, Trump policies, ETF flows, and on-chain data shaped market direction.
Market Pulse2 Min Read darkexonJanuary 13, 2025 The Fragile Balance Between Derivatives Pressure and Spot Demand in the Ethereum Market ETH longs increase while spot demand stays weak, creating risk of a long squeeze and heightened market volatility.