US-China trade tensions ease, sparking a surge in risk assets and pushing Bitcoin to all-time highs, while Ethereum steals the show with a 50% rally and soaring volatility.

Hosts Imran Lakha (Options Insight) and Dave Brickell(FRNT) unpack the market’s sharp turnaround in recent weeks, from Trump’s tariff pivot to fiscal policy shifts fueling liquidity. With bond yields signaling debt concerns but equities and crypto thriving, they dive into Bitcoin’s steady climb, Ethereum’s volatile breakout, and strategies for navigating this potential alt-driven rally.

The following topics is covered:

00:00 – Introduction
00:38 – Recap of Token2049 and Current Macro Market Developments
06:56 – Rising Global Yields: What It Means for Markets
08:48 – Bitcoin Showing Strength, and What About Altcoins?
12:22 – Difficult Period and Strategies for Vol Traders in Crypto
14:05 – Realistic Upside for Bitcoin in the Short Term?
15:50 – Will Bitcoin Mirror Gold’s Price Action?
20:49 – Coinbase Makes Strategic Move into Options with Deribit
23:33 – Ethereum’s Underlying Narrative & Final Thoughts

Listen via Apple Podcast or Spotify.

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Disclaimer: The content presented on Crypto Options Unplugged is not intended as investment advice. Always conduct your own research.

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