Asian equities are bracing for a cautious start following tech-led selloffs across the US, while silver and gold have experienced notable pullbacks. The mixed signals underscore near-term market volatility.



However, beneath the surface, major institutions remain constructively positioned. Wall Street analysts are still modeling around a 9% advance for the S&P 500 throughout 2026, banking on persistent growth momentum and AI-driven optimism to sustain the rally. It's a classic disconnect: short-term jitters competing against longer-term conviction.

For traders watching macro conditions, this setup highlights the tension between tactical weakness and strategic allocations—a dynamic worth monitoring as traditional markets interact with crypto and digital asset flows.
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CoffeeNFTsvip
· 8h ago
Institutions are optimistic about 2026, but I'm still worried that Asia's opening will be hammered again.
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ChainPoetvip
· 9h ago
Short-term fluctuations are just fluctuations; anyway, the institutions are all lurking, and the 9% expectation is right there.
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BearMarketMonkvip
· 9h ago
Institutions are still hyping up a 9% increase, while retail investors are already starting to cut their positions... The gap is astonishing.
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GateUser-5854de8bvip
· 9h ago
Institutions still remain optimistic, but retail investors are cutting losses... the gap is really huge.
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PumpingCroissantvip
· 9h ago
Institutions are still hyping a 9% increase, but retail investors like us have already cut our losses, it's hilarious.
View OriginalReply0
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