@noelbadiah
Crypto and U.S. tech equities often show correlation, especially during risk-on periods when investors chase innovation-driven assets. Both markets respond to liquidity conditions, interest rate expectations, and institutional inflows. However, crypto displays higher volatility and may decouple during sector-specific events, such as major protocol upgrades or regulatory news. Monitoring Nasdaq performance and crypto inflows can highlight synchrony. While correlation is not permanent, macro shocks frequently move both in tandem, reflecting shared investor profiles and capital rotation.