Bitcoin Magazine

44 cited calls across 24 public pulses.

Daily Pulse - 2026-06-27

Mega-cap tech is experiencing a 'sell the news' reaction to strong Micron earnings, indicating peak euphoria and margin exhaustion amid rising consumer friction from Apple price...

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Daily Pulse - 2026-06-14

President Trump announced an interim US-Iran peace deal will be signed Sunday, immediately reopening the Strait of Hormuz and removing the massive geopolitical risk premium from...

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Daily Pulse - 2026-06-11

Conflicting reports regarding the Strait of Hormuz closure and potential US strikes on Iran are creating massive uncertainty in energy markets.

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Daily Pulse - 2026-05-18

The immediate bearish shift in SPY and Crypto dictates a defensive tactical posture, prioritizing hedges against rising yields and geopolitical oil shocks.

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Daily Pulse - 2026-05-16

The immediate bearish shift in S&P 500 and Bitcoin AHIs dictates a defensive tactical posture as surging yields and ETF outflows trigger risk-off flows.

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Daily Pulse - 2026-05-06

The S&P 500 has printed daily topping tails and RSI is overbought, suggesting near-term exhaustion despite the AI-driven rally.

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Daily Pulse - 2026-04-16

Momentum is currently driven by a "peace trade" regarding the Iran conflict and strong earnings, with the S&P 500 clearing 7,000.

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Daily Pulse - 2026-04-14

BTC is testing $75k resistance with negative dealer gamma exposure; a breakout above $75.5k triggers a massive short squeeze.

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Daily Pulse - 2026-04-13

The market is at a "pivotal junction" with narrow breadth (only 27.6% of stocks above 50-day MA) and a massive 8% spike in oil prices following the Strait of Hormuz blockade.

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Daily Pulse - 2026-04-11

The index has reclaimed its 200-day moving average and is benefiting from a "sell the news" dynamic where markets rally despite geopolitical noise.

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Daily Pulse - 2026-04-08

The two-week U.S.-Iran ceasefire has triggered a short-covering rally and a compression in volatility (VIX down 20%). Markets are currently pricing in a "relief" scenario, with ...

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Daily Pulse - 2026-04-03

Physical supply constraints in the Strait of Hormuz are decoupling oil from broader equity correlations, creating a persistent inflation floor.

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Daily Pulse - 2026-04-02

Markets are rejecting resistance levels while geopolitical risk (Iran/Oil) remains elevated; volume is thin, suggesting lack of conviction in the recent bounce.

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Daily Pulse - 2026-03-26

Relief rallies are still being framed as tactical only while oil stress, higher-rate risk, and weak breadth keep the broader equity tape vulnerable to another downside leg.

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Daily Pulse - 2026-03-24

The market is currently driven by "TACO" (Trump Always Chickens Out) news cycles regarding Iran. The lack of genuine diplomatic progress, combined with the expiration of the 5-d...

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Daily Pulse - 2026-03-23

The bounce still reads like an oversold, headline-driven reflex move rather than a durable low. Multiple technical reads remain below or around broken support, the S&P 500 is st...

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Daily Pulse - 2026-03-06

Geopolitical risk (Iran/Hormuz narratives) is colliding with higher oil and pre-jobs-data defensiveness. Equity leadership is narrowing while sentiment remains fragile.

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Daily Pulse - 2026-03-04

Korea circuit-breaker stress, Iran-war risk narratives, and mixed cross-asset reaction raise gap risk across risk markets. BTC resilience does not remove macro shock risk.

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