Is crypto becoming more exposed to macro triggers?
Could you elaborate on the extent to which cryptocurrency markets seem to be becoming increasingly sensitive to macroeconomic triggers? Are we observing a trend where traditional financial market dynamics are having a more pronounced impact on cryptocurrencies, especially with regard to global interest rate changes, economic policies, and geopolitical tensions? Are investors and traders now factoring in these macroeconomic variables more heavily in their crypto trading decisions? If so, what are the potential implications for the crypto market's volatility and long-term growth prospects?