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SYMBOL
LAST
BID
ASK
HIGH
LOW
NET CHG.
%CHG.
SPREAD
SOURCE
SPX
S&P 500 Index
7498.97
7498.97
7498.97
7525.94
7485.85
-10.24
-0.14%
--
--
DJI
Dow Jones Industrial Average
52218.58
52218.58
52218.58
52511.21
52148.87
-6.06
-0.01%
--
--
IXIC
NASDAQ Composite Index
25690.89
25690.89
25690.89
25841.31
25681.32
-146.30
-0.57%
--
--
USDX
US Dollar Index
100.820
100.820
100.900
100.910
100.820
-0.080
-0.08%
--
--
EURUSD
Euro / US Dollar
1.14211
1.14211
1.14219
1.14211
1.14048
+0.00102
+ 0.09%
--
--
GBPUSD
Pound Sterling / US Dollar
1.33852
1.33852
1.33860
1.33858
1.33671
+0.00110
+ 0.08%
--
--
XAUUSD
Gold / US Dollar
4118.75
4118.75
4119.20
4140.89
4112.00
-11.19
-0.27%
--
--
WTI
Light Sweet Crude Oil
87.235
87.235
87.270
87.773
86.525
+1.392
+ 1.62%
--
--

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Share

ANZ: Korea's July Inflation Data Likely To Support An August Rate Hike

Share

Australian Employment Data Far Exceeded Expectations, And The Possibility Of An August Rate Hike By The Reserve Bank Of Australia Remains

Share

The Main Palm Oil Futures Contract Broke Through 9,500 Yuan/ton, Up 2.69% On The Day

Share

The United States And Japan Have Clashed Over Liability Issues Related To A $40 Billion Nuclear Power Project

Share

The South Korean Won Rose To 1466.90 Against The US Dollar, Hitting A New High Since May 11

Share

Guangdong's GDP Grew 4.5% Year-on-Year In The First Half Of The Year

Share

Iron Ore Futures Contract 2609 Rose During The Session, With Gains Widening To 1.55%, And Last Quoted At 753.5 Yuan/ton; The Trading Volume Was Approximately 9.965 Billion Yuan, With More Than 5,600 Lots Of Open Interest Decreasing During The Day, Showing A Trend Of Rising Prices With Reduced Open Interest

Share

Wuhan: Citywide GDP Reaches RMB 1,123.642 Billion In H1, Up 5.7% Year-on-Year

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Mizuho: The Bank Of Japan Governor's Speech Next Week Is Unlikely To Reverse The Yen's Weakness

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The Main Lithium Carbonate Futures Contract Rose 3.58% Intraday, Currently Trading At 146,500 Yuan/ton

Share

The Yield On Japan's Two-year Government Bonds Rose 6 Basis Points To 1.500%, Hitting A New High Since May 1995

Share

Australia's Employment Rose By 76,300 In June, Exceeding The Forecast Of 15,000 And Following A Prior Increase Of 40,300

Share

Australia's Seasonally Adjusted Labor Force Participation Rate In June Was 67%, Compared With An Expected 66.70% And A Previous Reading Of 66.70%

Share

Australia's Full-time Employment Increased By 29,300 In June, Compared To A Previous Increase Of 5,200

Share

Australia's Seasonally Adjusted Unemployment Rate In June Was 4.4%, Matching The Forecast Of 4.40% And The Previous Reading Of 4.40%

Share

The Most Active Palm Oil Futures Contract Rose 201.00 Yuan During The Day, Currently Trading At 9452.00 Yuan/ton, An Increase Of 2.17%

Share

China's Central Bank Announced Today That It Conducted 204 Billion Yuan Of 7-day Reverse Repurchase Operations, With Both The Bid And Winning Bids Amounting To 204 Billion Yuan. The Operating Rate Was 1.40%, Unchanged From The Previous Rate

Share

The Central Parity Rate Of The Yuan Against The US Dollar Was Raised By 27 Basis Points To 6.7906, Reaching Its Highest Level Since February 10, 2023

Share

The Bank Of Japan Announced That It Will Directly Purchase ¥355 Billion Of 1-3 Year Japanese Government Bonds, ¥335 Billion Of 5-10 Year Japanese Government Bonds, And ¥100 Billion Of 10-25 Year Japanese Government Bonds Starting July 24

Share

The Main Lithium Carbonate Futures Contract Rose By 2.00% Intraday, Currently Trading At 144,280 Yuan/ton

TIME
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PREV
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Germany ZEW Current Conditions Index (Jul)

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Mexico Retail Sales MoM (May)

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Japan Goods Trade Balance (SA) (Jun)

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Japan Imports YoY (Jun)

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Japan Trade Balance (Not SA) (Jun)

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Australia Westpac Leading Index MoM (Jun)

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U.K. Output PPI MoM (Not SA) (Jun)

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U.K. Output PPI YoY (Not SA) (Jun)

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U.K. Core Retail Prices Index YoY (Jun)

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U.K. Input PPI YoY (Not SA) (Jun)

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U.K. CPI YoY (Jun)

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U.K. Retail Prices Index YoY (Jun)

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U.K. Retail Prices Index MoM (Jun)

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U.K. CPI MoM (Jun)

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  • WTI
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U.K. Input PPI MoM (Not SA) (Jun)

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  • GBPUSD
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  • WTI
  • USDX
Indonesia 7-Day Reverse Repo Rate

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U.S. EIA Weekly Cushing, Oklahoma Crude Oil Stocks Change

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Australia Labor Force Participation Rate (SA) (Jun)

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Australia Employment (Jun)

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Australia Unemployment Rate (SA) (Jun)

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Australia Full-time Employment (SA) (Jun)

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  • USDX
Turkey 1-Week Repo Rate

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Euro Zone ECB Main Refinancing Rate

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Euro Zone ECB Marginal Lending Rate

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Euro Zone ECB Deposit Rate

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ECB Press Conference
ECB Monetary Policy Statement
Canada Core Retail Sales MoM (SA) (May)

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U.S. Weekly Initial Jobless Claims (SA)

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Canada Retail Sales MoM (SA) (May)

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U.S. Chicago Fed National Activity Index (Jun)

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U.S. Initial Jobless Claims 4-Week Avg. (SA)

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U.S. Weekly Continued Jobless Claims (SA)

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U.S. EIA Weekly Natural Gas Stocks Change

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U.S. Kansas Fed Manufacturing Production Index (Jul)

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U.S. Kansas Fed Manufacturing Composite Index (Jul)

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U.K. GfK Consumer Confidence Index (Jul)

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Japan National CPI MoM (Jun)

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Japan National CPI YoY (Jun)

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U.K. Retail Sales YoY (SA) (Jun)

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Germany GfK Consumer Confidence Index (SA) (Aug)

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U.K. Core Retail Sales YoY (SA) (Jun)

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Russia Key Rate

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Canada Industrial Product Price Index MoM (Jun)

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Canada Industrial Product Price Index YoY (Jun)

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U.S. New Home Sales Annualized MoM (Jun)

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U.S. Annual Total New Home Sales (Jun)

--

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    if anyone need any help in trading I will help you guys
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          Bitcoin’s ‘Silent IPO’: Early Holders Exit as Institutions Enter Amid Market Maturation

          Beincrypto
          Virtuals Protocol / USD Coin
          0.00%
          Virtuals Protocol / Tether
          -1.05%
          Meteora / USD Coin
          -1.17%
          Meteora / Tether
          -0.43%
          Doodles / USD Coin
          0.00%

          Galaxy Digital executed a $9 billion Bitcoin sale for a Satoshi-era investor in July 2025, one of the largest crypto exits to date. This event signals a new era, as early Bitcoin adopters distribute coins to meet rising institutional demand without disrupting the market.

          This ongoing shift marks Bitcoin’s transition into a more mature and stable market. Institutional capital now dominates, as on-chain data shows dormant wallets reactivating throughout 2025. The asset’s evolution from speculative play to global financial infrastructure continues to accelerate.

          The Mechanics of Bitcoin’s Distribution Phase

          Bitcoin’s current consolidation resembles the post-IPO stages in traditional equities, where early backers gradually exit as institutions enter.

          In a Subtack post, Jeff Park, an advisor at Bitwise, describes this as a “silent IPO,” which lets original holders distribute Bitcoin through ETF infrastructure. Unlike previous downturns shaped by regulation or failures, today’s distribution happens under strong macro conditions and growing institutional interest.

          On-chain data reflects the trend. Dormant wallets that were inactive for years began moving coins in mid-2025. For example, in October 2025, a wallet that had been inactive for three years transferred $694 million in Bitcoin, highlighting broader wallet reactivations during the year.

          Blockchain analytics firm Bitquery also tracked numerous wallets that had been dormant for over a decade, becoming active in 2024 and 2025.

          Crucially, this distribution is patient, not panic-driven. Sellers target high-liquidity windows and institutional partners to minimize price impact.

          The Galaxy Digital transaction demonstrates this approach, where over 80,000 Bitcoin were moved during estate planning for an early investor, all without destabilizing the market.

          Historically, such consolidation phases in traditional finance last six to 18 months. Companies like Amazon and Google experienced similar periods after their IPOs, as founders and venture investors made room for long-term institutional investors.

          Bitcoin’s ongoing consolidation since early 2025 signals a comparable shift from retail pioneers to professional asset managers.

          Institutional Adoption Accelerates as Early Holders Exit

          This handoff from early holders to institutions relies heavily on the expansion of ETF infrastructure. Since the launch of spot Bitcoin ETFs in early 2024, institutional inflows have surged.

          CoinShares research reported that as of Q4 2024, investors managing over $100 million collectively held $27.4 billion in Bitcoin ETFs, a 114% quarterly gain. Institutional investors accounted for 26.3% of Bitcoin ETF assets, up from 21.1% the prior quarter.

          North American crypto adoption increased by 49% in 2025, driven primarily by institutional demand and the introduction of new ETF products, according to Chainalysis. This growth ties directly to the accessibility of spot ETFs, a familiar option for cautious investors.

          Still, market penetration remains early. River’s Bitcoin Adoption Report reveals that only 225 of over 30,000 global hedge funds held Bitcoin ETFs in early 2025, with an average allocation of just 0.2%.

          This gap between interest and allocation demonstrates how institutional integration is just beginning. Still, the trend remains upward. Galaxy Digital ended Q2 2025 with roughly $9 billion in combined assets under management and stake, a 27% quarterly increase—thanks in part to rising crypto prices and the record-setting Bitcoin sale. Its digital assets division delivered $318 million in adjusted gross profit, and trading volumes jumped 140%, as detailed in Galaxy’s Q2 2025 financial results.

          The crypto lending ecosystem also expanded. According to Galaxy’s leverage research, Q2 2025 saw $11.43 billion in growth, bringing total crypto-collateralized lending to $53.09 billion.

          This 27.44% quarterly rise signals strong demand for institutional-grade infrastructure that supports large transactions and wealth strategies.

          Psychological De-Risking and the New Bitcoin Holder Profile

          The logic behind early holder exits goes beyond profit-taking. Hunter Horsley, CEO of Bitwise, highlights that early Bitcoin investors remain bullish but prioritize psychological risk management after life-changing gains.

          Strategies include swapping spot Bitcoin for ETFs to gain custodial peace of mind, or borrowing from private banks without selling.

          Others write call options for income and set price targets for partial liquidations. These approaches signal smart wealth management and continued potential upside, not pessimism.

          Bloomberg ETF analyst Eric Balchunas confirmed on X that original holders are selling actual Bitcoin, not just ETF shares. He likened these early risk-takers to “The Big Short” investors, who were first to spot opportunities and are now reaping the rewards.

          As institutional ownership expands, Bitcoin’s volatility is projected to decrease, thanks to a broader distribution across pension funds and investment advisors.

          This supports greater market stability and draws additional conservative capital. As a result, Bitcoin continues to shift from a speculative asset to a foundational monetary tool in global finance.

          Risk Warnings and Disclaimers
          You understand and acknowledge that there is a high degree of risk involved in trading. Following any strategies or investment methods may lead to potential losses. The content on the site is provided by our contributors and analysts for information purposes only. You are solely responsible for determining whether any trading assets, securities, strategy, or any other product is suitable for investing based on your own investment objectives and financial situation.
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          The risk of loss in trading financial instruments such as stocks, FX, commodities, futures, bonds, ETFs and crypto can be substantial. You may sustain a total loss of the funds that you deposit with your broker. Therefore, you should carefully consider whether such trading is suitable for you in light of your circumstances and financial resources.

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