
𝗡𝗲𝗴𝗲𝗻𝘁𝗿𝗼𝗽𝗶𝗰|Oct 23, 2025 07:46
Markets remain in a bottoming consolidation.
Short-term volatility persists, but beneath the surface, structure is strengthening.
Market Outlook 🧭
🟡 Short Term (1–2 weeks)
• Data-dependent as we await CPI and Fed outlook.
• Expect volatility and downside wicks — typical of late-stage consolidation.
🟢 Mid Term (2–6 weeks)
• Liquidity and on-chain structure improving.
• Increasing signs of a “gold-like run” in risk-on assets — led by Bitcoin and Ethereum.
🟡 Long Term (beyond 2025)
• Focus shifts to continuity of the risk-on rally, not recovery.
• Early cracks emerging in private credit — being monitored closely.(𝗡𝗲𝗴𝗲𝗻𝘁𝗿𝗼𝗽𝗶𝗰)
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