The market has reached a crossroads, and this week will determine the direction.

The Federal Reserve is about to announce a key policy decision, while the financial reports of global leading technology and industrial giants will be released simultaneously, with macro and fundamental factors colliding.

Against the backdrop of persistent inflationary pressures, the market generally expects interest rates to remain unchanged, but the real variable lies in Powell's wording.

The question is:

Cautious monetary signals, combined with uncertain profit outlooks, are sending conflicting signals to the market.

This rare overlap often means a repricing of risk appetite, with short-term volatility significantly amplified.

As this week's data-intensive events unfold, the market is unlikely to provide opportunities for a 'slow response.'

This is the week for directional choices.

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