I looked at the macro trend in the past few days, and overall it is still in a neutral to bearish state. There are several major events next:

1. Near the end of the month, at the end of June, many derivatives will be delivered, and the market volatility is expected to be very large, and the specific spot may also be affected

2. The American TV debate on the 27th, this event will also cause volatility to rise

3. The Mentougou incident. Among the 140,000 coins, 65,000 were given to individuals and 30,000 to institutions. It is said that there is linear selling pressure. This is not yet fully understood

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