In recent months, there has been a worrying trend: foreign investors have been selling off US stocks and bonds. This has raised concerns that US financial markets could face serious consequences.

The reasons for this outcome are multifaceted. First, high interest rates from the US Federal Reserve make US assets less attractive to foreign investors, who may find more profitable opportunities elsewhere. Second, global economic uncertainties and rising geopolitical risks are forcing investors to reconsider their portfolios.

A massive outflow of foreign capital could destabilize markets, raise borrowing costs for the US and, as a result, increase inflationary pressure. The question now is whether this will lead to a "Big Bad Boom" - a global financial shock, or whether the US economy will withstand this capital outflow.

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