
Lately, I keep hearing the phrase “follow the smart money” but between rate cut rumors, crypto volatility, and mixed signals from the bond market, it’s hard to tell what “smart” really looks like in 2025.Are the big players quietly rotating into risk assets again, or are they hedging for another correction?I’ve been watching ETF flows, options sentiment, and crypto to equities correlations, and the picture looks… messy.So I’m curious:•Where do you think the real capital is moving right now?•Are you holding more cash, going risk on, or dollar cost averaging through the noise? via /r/investing_discussion https://ift.tt/9lPB2LM
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