🇮🇷🇵🇰🇺🇸 BREAKING:
Iran has reached a Memorandum of Understanding through Pakistani mediation.
The MoU covers:
- End to the war
- Lifting the siege
- Reopening the Strait of Hormuz
- Full withdrawal of US forces from the war zone
Nuclear issues are deliberately left out for now. If the MoU takes effect, nuclear talks begin 30 days later.
$EDU One of the most bullish charts ready to blow up from here.
All coins am sharing are exploding one after the other as you see TOWNS , CGPT , RAVE, BLAUI & many others are all starting.
$EDU is absolutely bottomed!
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https://t.co/RrxmWEZXwr
$BTC
BTC is moving as expected. As mentioned, until reclamation of the 84k level BTC is bearish and we are expecting it to reach lower levels. This is exactly what is happening now and BTC dropped another 8% from the last update. It is currently at the demand zone of 70k-67k. If the zone holds, then we may see some pullback from this zone but the overall scenario is still bearish until bullish reclamation.
We will try to keep updating accordingly !!!
#btc #bitcoin #crypto
$BTC
BTC lost the lower range area of 81k-80k and closed below the zone. Due to extensive manipulation, BTC is breaking support zones as if they don't exist. As mentioned, we may see BTC at lower levels if it closes below the 80k-81k zone, and this is exactly what is happening. If the momentum continues, then we may see BTC at 73.7k, then the 70k-67k area in the coming days. This bias is valid as long as it trades below the 90k level.
We will try to keep updating accordingly !!!
#btc #bitcoin #crypto
🚨 THIS IS VERY BAD FOR MARKETS!!
What’s unfolding right now shouldn’t be possible.
And markets are completely unprepared for what's coming next.
This isn’t just noise.
It’s system stress.
By the time it’s obvious, it’ll already be too late.
Here’s what no one is telling you:
1⃣ The data blackout.
U.S. government shutdown starts on January 31.
The Fed is data-dependent, but a shutdown shuts the data off:
→ CPI
→ Jobs
→ GDP
→ BLS / BEA
No data means no transparency.
Models lose inputs.
Algorithms guess.
Uncertainty spikes, and volatility gets repriced higher.
2⃣ Collateral risk.
Treasuries are the backbone of global funding, yet:
→ The U.S. has already been downgraded
→ Rating agencies are openly warning about political dysfunction
A downgrade during a shutdown means higher repo haircuts overnight.
Higher margins = less liquidity.
That’s how funding stress begins.
3⃣ Liquidity is already thin.
Dealers pull back when uncertainty rises, and we’ve seen this move before.
But this time there’s no safety left.
The RRP is basically drained.
If confidence in Treasuries wobbles, short-term funding can freeze quickly.
Now zoom out, because the market is already screaming.
In ONE WEEK:
→ Japanese 30Y bonds printed a 6-sigma move
→ Silver pumped to 6-sigma in a single session
→ Gold is up ~23% in under a month, approaching 6-sigma territory
Three near-statistical impossibilities, back to back.
That doesn’t happen because of headlines.
It happens when leverage is too concentrated, collateral gets questioned, and forced positioning kicks in.
Historically, that’s when regimes start to crack.
Rates reflect confidence in governments.
Precious metals reflect confidence in currencies.
When both destabilize together, the message is clear.
This isn’t “just a shutdown.”
It’s the combination:
→ Data disappearing
→ Collateral under pressure
→ Liquidity already stretched
→ Extreme internal market stress
That’s how small political events turn into systemic ones.
Ignore it if you want, but don’t pretend you weren’t warned.
I’ve been calling major tops and bottoms for over 10 years, and I’ll do it again in 2026.
Follow and turn notifications NOW or become exit liquidity.
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-#HaloWC
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$KGEN EXPLODING ✅. I have another gem that will go MUCH Higher & it is sitting at absolute bottom with some insider news on it. Will share on 300 likes & 100 RTs.
#Bitcoin#Crypto#كريبتو