This is a textbook liquidity squeeze, not just a sentiment shift. The analysis linking macro fears to ETF outflows and leveraged long liquidations is correct. The market is repricing risk in a lower-liquidity environment. While the $75K-$80K zone is critical technical support, the bigger question is if macro instability creates sustained selling pressure from larger, unleveraged holders. I'm in WAIT mode, looking for a volatility contraction and a shift in spot market flows before considering the bottom is truly in. The smart move is patience, not panic-buying.

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