List of Flash News about investor positioning
Time | Details |
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2025-09-01 23:52 |
BofA Global Equity Risk-Love Indicator Jumps to 1.4, 13-Month High Signals Euphoria and Trading Implications for Crypto
According to @KobeissiLetter, BofA’s Global Equity Risk-Love indicator jumped to 1.4, the highest in 13 months, signaling euphoric equity sentiment. Source: @KobeissiLetter on X, Sep 1, 2025. This gauge aggregates investor positioning, put-call ratios, investor surveys, price technicals, and volatility, providing a composite read on risk appetite. Source: @KobeissiLetter on X, Sep 1, 2025. Traders can monitor these components and the headline reading for tactical adjustments in risk exposure across equities and crypto, where cross-asset risk appetite is a key backdrop. Source: @KobeissiLetter on X, Sep 1, 2025. |
2025-02-24 16:39 |
Glassnode Expands Cost Basis Analysis to Ethereum, ERC20, and SPL Tokens
According to Glassnode, the expansion of Cost Basis Distribution to include Ethereum, ERC20, and SPL tokens provides traders with enhanced insight into investor positioning and market dynamics. This development allows for more precise evaluation of cost basis trends, potentially impacting trading strategies and market sentiment. Traders can now better assess where significant price levels may lie and adjust their strategies accordingly, influencing market liquidity and volatility. (Source: @glassnode) |