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Wintermute Market Weekly: Iran War Ends, Inflation Meets Expectations, BTC Rebounds to Lower 60ks But Don’t Rush to Buy the Dip

**Wintermute Market Weekly: BTC Rebounds to $60K Lows, But Caution Advised** This week saw a broad market rebound, primarily driven by two converging factors: a US CPI inflation reading that met expectations (4.2% YoY) and former President Trump's announcement of a deal to end the Iran conflict. The latter triggered a sharp drop in oil prices, reducing geopolitical risk premiums and easing inflation fears. Consequently, risk assets like equities and cryptocurrencies rallied, with Bitcoin recovering from lows around $60,000 to close the week up 1.9%, while altcoins gained 3.1%. Despite the price bounce, the underlying liquidity picture for crypto remains weak. Key funding channels—stablecoin flows, ETF inflows, and Digital Asset Treasury (DAT) activity—show no signs of structural improvement. ETF outflows recently hit a record streak, and DAT assets have declined significantly. The rally from $60K to $83K earlier is now viewed as a bear-market rally that has failed. The current environment is characterized by low directional conviction and choppy, range-bound trading, likely persisting into summer. The report advises caution against aggressively buying the dip. While the $60K area offers attractive long-term risk/reward, a sustained bull run requires a visible turnaround in capital inflows, which hasn't materialized. The upcoming FOMC meeting and Powell's commentary, alongside the formal Iran deal signing, are noted as near-term catalysts. The core takeaway is to watch fund flows rather than price action and avoid being whipsawed by volatility before clear signs of institutional or retail capital returning emerge.

marsbit06/17 04:00

Wintermute Market Weekly: Iran War Ends, Inflation Meets Expectations, BTC Rebounds to Lower 60ks But Don’t Rush to Buy the Dip

marsbit06/17 04:00

What Will End the AI Bull Market: Positioning or Narrative?

Who Will End the AI Bull Market: Overcrowded Positions or the Narrative Itself? The US stock market's relentless rally, led by AI-themed stocks, faces a growing contradiction. Technically, positioning appears dangerously stretched: the S&P 500's six-week winning streak is historically extreme, and Goldman Sachs's Risk Appetite Indicator signals potential for a pullback. Many hot sectors are in extreme overbought territory, with mechanical fund flows suggesting the market is at or near maximum long positioning, limiting upside and creating pressure for a reset. However, shorting is difficult due to volatile exit timing and the risk of a sharp short squeeze. Fundamentally, the AI narrative remains robust, propping up sentiment. Strong corporate earnings, contained inflation concerns, and absorbed geopolitical risks provide no clear catalyst for a bear market. Yet, market performance has become excessively concentrated. Without AI contributions, broader market returns would be mediocre; semiconductors alone accounted for nearly 40% of gains since March. The market has shifted into a "greed mode," overlooking previous concerns about AI costs, energy bottlenecks, pricing wars, and security issues. The core risk is the interplay between these two factors. Nomura strategist Charlie McElligott warns that a sudden, DeepSeek-style negative catalyst could trigger a Nasdaq limit-down event, with semiconductor ETFs potentially plunging 15% in a day. The same mechanical flows that fueled the rally could violently reverse and amplify a downturn. Thus, the bull market's fragility lies in the tension between immediate technical vulnerability from crowded trades and a deeper, narrative-driven collapse should the AI story falter.

marsbit05/14 10:34

What Will End the AI Bull Market: Positioning or Narrative?

marsbit05/14 10:34

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