宏观

  • 比特币横盘整理,流动性转向以太坊及更广泛的替代币市场

    比特币在11万美元附近盘整,资金流向以太坊及山寨币。美联储鸽派言论引发加密市场反弹,以太坊创历史新高4958美元。机构资金转向以太坊,企业资金加速积累,链上资金超100亿美元。尽管比特币ETF出现净流出,但全球流动性仍支撑数字资产长期看涨。

    2天前
    1100
  • 脱离金本位是“我们犯下的代价最惨重的错误”

    比特币媒体TFTC发布视频,纪念美元脱离金本位,称其为“代价最惨重的错误”,导致社会衰退、物价飞涨、家庭债务及文化瓦解。视频通过祖孙对话强调金本位约束政府开支、维持货币诚信的作用,而法币体系助长无节制印钞与债务危机。比特币因固定供应量、去中心化特性,被视作新一代“健全货币”,为修复经济与社会提供新希望。

    3天前
    1100
  • 美国财政部债券周六交易 银行加入Canton区块链结算测试

    Digital Asset与多家金融机构在Canton Network完成首笔全链上美国国债回购交易,使用USDC作为现金端,代币化国债作为抵押品。该交易通过Tradeweb执行,实现现金与抵押品在同一许可型公链上的原子级结算,突破传统银行时间限制。参与方包括美国银行、花旗等机构,展示高质量流动资产在统一市场基础设施中的可编程结算潜力。Canton Network旨在连接传统金融与链上结算,实现全天候市场运营。

    2025年8月14日
    900
  • 美国核心通胀率跃升至5个月高点 以太坊突破4400美元大关

    美国7月CPI数据显示,整体通胀月率放缓至0.2%(前值0.3%),年率持平2.7%;核心通胀年率升至3.1%,月率0.3%。数据发布后,比特币上涨0.5%至11.9万美元,以太坊飙升超5%突破4400美元。市场反应显示:整体通胀放缓提振风险偏好,而核心指标高企仍令政策承压。加密货币在流动性集中的数据窗口期呈现典型波动,主流币种率先获得资金流入。

    2025年8月13日
    2600
  • 特朗普401k命令或推动高达1220亿美元资金通过默认渠道流入比特币和以太坊

    美国总统特朗普8月7日签署行政令,允许401(k)退休计划纳入加密货币投资。该指令要求劳工部、SEC和财政部重新评估现行限制,为比特币和以太坊通过集合投资工具进入退休计划铺路。美国DC计划资产规模达12.2万亿美元,即便0.1%的默认配置比例理论上也可带来122亿美元资金流入。关键取决于计划发起人设定的默认配置比例及采用计划的规模。新政策消除了劳工部2022年警告带来的监管不确定性,但风险控制和费用问题仍是争议焦点。若通过现货ETF配置,退休金流入将直接转化为加密货币的初级市场需求。

    2025年8月9日
    2500
  • 特朗普关税生效后,美国比特币矿机成本恐飙升21%

    美国特朗普政府8月7日正式实施100%半导体进口关税,重创加密货币矿工经济。新关税政策针对非美国产芯片,使矿工在减半和网络难度飙升的压力下成本激增。尽管政策允许承诺本土制造的企业豁免,但比特币矿机主要依赖亚洲产ASIC芯片,矿工短期内难寻替代方案。关税导致矿机采购成本平均上涨21%,加之算力收益同比下滑55%,上市矿企股价普遍下跌。行业报告显示硬件成本占初始投入60%-70%,持续涨价可能迫使美国算力向加拿大、挪威等免税地区转移。

    2025年8月7日
    3100
  • 欧美关税截止期限临近 市场波动性加剧

    美欧关税谈判进入关键阶段,8月1日最后期限前可能达成15%基准关税协议,汽车、钢铁等高敏感行业或获豁免。特朗普称达成概率仅50%,市场波动加剧。若谈判破裂,比特币或因地缘风险溢价受益;若达成协议,传统市场将获喘息,加密资产短期可能承压。 Investors hold their breath for a U.S.–Europe tariff deal The U.S. and EU are reportedly closing in on a deal that would set a broad, baseline 15% tariff on European goods entering the United States, with potential exemptions for select sectors. This follows President Trump’s prior threats to raise tariffs as high as 50% on certain imports if no agreement is reached, a move that’s kept European exporters and global investors on edge. Some of the most contentious areas remain automobiles and parts, as well as steel and aluminum, and sensitive, high-value sectors like pharmaceuticals and semiconductors. EU officials have insisted that any agreement must deliver immediate relief on tariffs for these critical industries, rather than deferring it until the final deal is ratified. Trump told reporters on July 25: “I would say that we have a 50-50 chance, maybe less than that, but a 50-50 chance of making a deal with the EU.” From his statement, it’s clear that the U.S.–Europe tariff is far from a done deal, and uncertainty still hangs over the negotiations. European diplomats have signaled that while a broad framework may be agreed upon soon, a number of outcomes remain possible, including a successful deal, a temporary reprieve, or an all-out tariff escalation on August 1. Market impacts: volatility, risk, and crypto Investors have reacted to the prospect of a deal with cautious optimism, hoping that even a partial agreement can reduce trade uncertainty that has weighed on European equity markets and global supply chains since Trump’s initial tariff announcements in April. U.S. stocks have hovered near record highs as traders price in a higher likelihood of a U.S.–Europe tariff relief, though volatility is expected to tick up as the deadline approaches. Trade tensions and tariff threats typically fuel concerns about economic slowdowns, stagflation, and disruptions to both the dollar and euro, increasing volatility across markets. Crypto assets, particularly Bitcoin, often benefit in such climates as global investors look for alternatives that are independent of any single government’s policy. Previous escalations in U.S.–China and U.S.–EU trade spats have prompted spikes in BTC trading volumes and strengthened the narrative of Bitcoin as a mature asset and a “hedge” against geopolitical and monetary uncertainty. However, as noted by Koinly: “If confidence in national currencies or markets drops, people might move into crypto to preserve their wealth. However, this behavior is not consistent and depends heavily on sentiment.” Should tariff escalation continue or uncertainty persist, we might expect some renewed momentum for Bitcoin and crypto as safe-haven assets and stores of value, similar to gold. Conversely, a last-minute trade deal could restore some calm to traditional markets, potentially dampening the crisis premium that sometimes serves to boost crypto and even seeing a potential short-term slump.

    2025年7月28日
    1600
  • Polymarket预测下周降息概率仅3.7% 与特朗普”美联储准备宽松”言论形成鲜明对比

    Polygon预测市场Polymarket数据显示,96.3%的押注认为美联储7月会议将维持利率不变,仅3%押注降息25基点。当前特朗普与鲍威尔公开分歧加剧,特朗普主张大幅降息,而鲍威尔强调政策需依赖数据。市场对鲍威尔7月底前离职的预期概率仅1%,年底前离职概率升至17%。预测市场与美联储”按兵不动”的主流指引基本一致。

    2025年7月26日
    2800
  • Solana链上RWA资产激增217%突破5.53亿美元,迷因币热潮退却

    Solana链上代币化现实资产(RWA)市场规模2025年突破5.5亿美元,年内暴涨217%,增速三倍于行业平均水平,跃居市场第三位。其高吞吐、低费用的架构优势吸引Ondo Finance等协议入驻,30天内持有代币化股票的钱包激增684%。尽管以太坊仍以77亿美元规模主导市场,但Solana获得贝莱德BUIDL基金超2500万美元布局,并通过与R3 Corda的企业级合作构建基础设施,展现出成为下一代金融结算层的潜力。分析师指出,Solana正从迷因币乐园转型为机构级RWA试验场,技术优势与机构认可度提升使其成为传统资产上链的关键参与者。

    2025年7月16日
    3100
  • 比特币跌破12万美元大关:美国通胀担忧与4.61亿美元爆仓风暴双重冲击

    比特币在7月14日创下12.3万美元历史新高后回落至12万美元下方,现报116,894美元,24小时跌幅超5%。分析师指出,在经历10.8万至12.2万美元上涨后回调属正常,11.63万美元成为关键心理价位。全市场爆仓额达4.61亿美元,其中多头爆仓3.83亿美元。市场关注即将公布的美国CPI数据,若核心通胀超3.2%或引发进一步回调,而低于预期的数据可能推动比特币重返12万美元上方。当前投资者保持谨慎,ETF资金流向将成为重要影响因素。

    2025年7月15日
    3200

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