Summary
Markets are rarely still—and in Q2 2025, quiet moves may be setting the stage for something bigger. In this exclusive webinar, Canary Capital expertJosh Olszewicz breaks down the subtle yet powerful signals emerging from ETF flows, altcoin rotation, and macro liquidity trends. Whether you’re repositioning mid-quarter or planning ahead, this session provides clear, actionable insights to help you navigate with precision.
Key Topics
- Risk Asset Rebound – Is the bounce a sign of strength—or just a reflexive move in a tired market?
- Bitcoin vs. Altcoins – What dominance shifts and mean reversion signals are telling us
- ETF Flows & CoT Data – Insights from institutional positioning and flow behavior
- Global Liquidity & Macro Pivots – What’s shifting beneath the surface—and what history says about it
- Cycle Comparisons & Technical Setups – 2025 vs. 2020 vs. 2017: where we are and what’s different this time