The volatility this week definitely suggests more than just typical market noise. It feels like large players might be repositioning, but there’s likely a deeper catalyst—perhaps a convergence of subtle regulatory shifts, liquidity fluctuations, or emerging geopolitical tensions—that’s not fully surfaced in mainstream news yet. These kinds of movements often precede significant directional trends, making it crucial to watch both on-chain data and lesser-known insider reports for clues. The interplay between macro factors and whale activity is complex, and this could be a pivotal moment for the market’s next phase.