Market
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@Market - Where we trade:

1- US Index - SPX 500
2- US Stocks - Top 50
3- XAU/ Gold
4- Dollar Index - DXY
5- Forex - Top 5 Liquid pairs
6- Indian Index - Nifty
7. Bitcoin and crypto
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๐Ÿ›ข OIL CRISIS IMPACT - Hormuz dependency by country:

๐Ÿ‡ฏ๐Ÿ‡ต Japan: 72%
๐Ÿ‡ฐ๐Ÿ‡ท South Korea: 65%
๐Ÿ‡ฎ๐Ÿ‡ณ India: 50%
๐Ÿ‡จ๐Ÿ‡ณ China: 50%
๐Ÿ‡ช๐Ÿ‡บ Europe (Avg): 18%
๐Ÿ‡บ๐Ÿ‡ธ United States: 2%

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#Oil is sitting at macro resistance around 67โ€“70.Now add war into the equation.When geopolitical tension rises, oil doesnโ€™t wait for supply to disappear. It prices the risk immediately.

Break and hold above 70 โ†’ 71.6 gets cleared fast.
Clear 80 โ†’ 90+ comes into view.

If tensions ease and this resistance holds?
Back to 62โ€“60 and the range continues. Right now, this isnโ€™t just a technical test.

Itโ€™s technical structure + geopolitical trigger.That combination can move fast.

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Retail interest in software stocks is picking up speed.

Individual investors now account for a record 8% of total trading volume in the S&P 1500 Software & Services sector, which is double the level seen during the 2022 bear market.

The 21 day moving average of this figure has climbed to 7.5%, sitting near all time highs. Data from JP Morgan shows retail participation has only been higher about 3% of the time historically.

Top picks among retail traders include Microsoft $MSFT, ServiceNow $NOW, and AppLovin $APP. At the same time, heavy inflows are also going into Nvidia $NVDA and Broadcom $AVGO.

Retail risk appetite is clearly running hot.

๐™ฟ๐š˜๐š ๐šŽ๐š›๐šŽ๐š ๐š‹๐šข โ€” ๐Ÿฅณ@Coach โ˜‘๏ธ
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#Oil Update

Oil has broken cleanly above the 67โ€“70 macro resistance and cleared 71.6 with strong momentum, confirming a structural shift. That zone now acts as support.

Technically, price is pressing into the long term descending trendline, signaling potential expansion toward 80 next. A sustained move above 80 opens the path toward 90+.

Fundamentally, rising geopolitical tensions are adding a risk premium to crude. Oil markets price future supply risk quickly, and that adds fuel to breakouts like this.

As long as price holds above 70, the bias remains bullish. Lose it, and the move risks fading back toward the mid 60s.

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Geopolitical tension is starting to show up across markets.

Oil futures have jumped roughly 7%, while gold and silver are rallying as capital rotates into traditional safe havens. U.S. equity futures are slightly negative, though losses remain relatively contained at under 1%, suggesting caution rather than full risk-off panic.

Meanwhile, $BTC is holding steady, not showing the kind of sharp reaction many might expect during this type of macro stress.

Itโ€™s a classic geopolitical market setup. Energy and metals are being bid, equities are cautious, and crypto is watching from the sidelines for now.

๐™ฟ๐š˜๐š ๐šŽ๐š›๐šŽ๐š ๐š‹๐šข โ€” ๐Ÿฅณ@Coach โ˜‘๏ธ
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Greeeeeeeen March ๐Ÿš€
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LFG
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WOW
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Market
CRCL +40% since post ^
CRCL ๐Ÿš€๐Ÿš€๐Ÿš€๐Ÿš€๐Ÿš€๐Ÿš€๐Ÿš€๐Ÿš€
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ORCL new entries 127-150

Long term hold

@Market
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BREAKING:

๐Ÿ‡ฎ๐Ÿ‡ฑ Tel Aviv Stocks Hit New All-Time High Despite Ongoing War.

@Market
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ZEC/USDT

@Market
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LUNR breakout soon?

@Market
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CRCL crossed 100 ๐Ÿš€
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Microsoft MSFT

@Market
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Market
ZEC/USDT @Market
ZEC +10%

@market breakouts
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Market
Microsoft MSFT @Market
MSFT +2.5% for you

@Market
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Market
ZEC/USDT @Market
ZEC

can we hold the breakout ?

If BTC stays above 70k, we get Crypto bull market


@Market
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