Crypto.Report - Your Daily Free Crypto News Podcast

Crypto.Report News Podcast — the audio companion to your daily dose of crypto clarity. Just like our newsletter, the podcast delivers concise, expert-curated insights on market trends, influencer commentary, breaking news, and in-depth analysis—all packaged in an engaging audio format.

Subscribe to our daily Free Crypto Newsletter: https://crypto.report

  • Daily Briefings: Get the latest from Bitcoin, Ethereum, altcoins, NFTs, DeFi, and Web3 developments—translated into digestible, actionable audio.
  • Concise & Efficient: Built for busy listeners—news in minutes, not hours.
  • Insights You Can Trust: Leveraging the same rigorous curation process behind our newsletter—bringing you only what matters.

Each episode is the perfect companion to our free daily Crypto.Report newsletter, offering another way to stay ahead: whether you prefer reading or listening, you’ll get a streamlined, expert-driven perspective on the crypto markets. 

Episodes

Nov 4, 2025

12 min

Welcome back to the Deep Dive. This episode breaks down a brutal market sell-off that wiped out roughly $600 million in long positions after Bitcoin broke key support near $106,000 and slid toward $103,000.
We review analyst views pointing to a potential $88–90K support zone, the macro pressure from quantitative tightening and a strong dollar, and the odd strength in privacy and legacy "dino" coins that could signal late-cycle behavior or a targeted reaccumulation.
Finally, we cover institutional moves and infrastructure builds that matter for the long term, and conclude with a cautious outlook: protect capital, watch macro liquidity, and monitor whether this is a final shakeout or the start of a deeper correction.Subscribe to our daily Free Crypto Newsletter: https://crypto.report

Nov 4, 2025

12 min

Nov 3, 2025

14 min

We unpack why crypto is bleeding now: a U.S. dollar rally and a tightening SOFR‑IORB spread are triggering forced deleveraging and selling from institutional desks.
We weigh two opposing cycle views — Benjamin Cowan's time-based fair-value model warning of consolidation versus Arthur Hayes' liquidity-driven thesis that a much larger blow-off top could arrive later — and outline key political and regulatory wildcards, including the Nov 5 Supreme Court tariff hearing and differing moves from Hong Kong and the EU.
Practical takeaway: stay defensive as stablecoin flows and smart‑contract risks show where institutions are parking capital now, and decide which “clock” — historical cycle timing or future liquidity expansion — you believe will drive the next major move.Subscribe to our daily Free Crypto Newsletter: https://crypto.report

Nov 3, 2025

14 min

Oct 31, 2025

17 min

After a volatile week post‑FOMC, Bitcoin tested $106K then bounced to $111K — but the move looks largely leverage‑driven and fragile. Institutional signals like a falling Coinbase premium and negative ETF flows, plus a strong dollar and renewed geopolitical risk, point to selling pressure and a likely choppy downtrend toward the $102K area if support breaks.
At the same time, long‑term fundamentals remain strong: Ethereum’s Fusaka upgrade is set for Dec 3, tokenization forecasts and USDC adoption point to multi‑year growth, and privacy coin demand is rising amid regulatory tension. The near‑term posture is risk‑management: watch institutional flow indicators and be wary of exit‑pump patterns.Subscribe to our daily Free Crypto Newsletter: https://crypto.report

Oct 31, 2025

17 min

Oct 30, 2025

12 min

In this episode we unpack why Bitcoin plunged after the Fed’s 0.25% rate cut and the announcement that quantitative tightening ends in December, focusing on how Powell’s uncertain messaging and a stronger dollar triggered a swift sell-off.
We contrast short-term technical risks and market sentiment with longer-term bullish fundamentals — the QT end, ongoing institutional bets, and new infrastructure — and outline the key price levels and scenarios investors should watch next.Subscribe to our daily Free Crypto Newsletter: https://crypto.report

Oct 30, 2025

12 min

Oct 29, 2025

14 min

On FOMC day the 25 basis point cut is the headline, but the episode argues the real story is in the subtext: Powell’s tone, quantitative tightening (QT), and real‑time data like the Truflation index. With official statistics impaired by a government shutdown, markets are looking elsewhere for signals.
Conflicting indicators — a reaccelerating Truflation number versus large corporate layoffs and a weakening jobs picture — create a tough tradeoff for the Fed and major implications for risk assets. The episode weighs short‑term cycle risk against longer‑term structural catalysts like regulatory clarity and institutional inflows.
Bottom line: watch QT and balance sheet guidance, favor Bitcoin and select narratives, and exercise patience while institutional capital and regulatory shifts set the stage for a potential 2026 pivot.Subscribe to our daily Free Crypto Newsletter: https://crypto.report

Oct 29, 2025

14 min

Oct 28, 2025

12 min

This episode dissects a two‑week market rollercoaster from October 13–28, 2025, tracing an extreme liquidation and panic through to a fragile recovery and growing bullish narratives.
We analyze the key drivers — dollar dominance, a mega whale short, gold’s movements, and shifting investor psychology — and ask how much crypto’s future depends on traditional markets versus its own fundamentals.Subscribe to our daily Free Crypto Newsletter: https://crypto.report

Oct 28, 2025

12 min

Oct 27, 2025

16 min

Episode focus: the week of October 27, 2025 — a high-stakes moment for crypto as macro events, major earnings, and new tech narratives collide with tight technicals.Key price tripwires: Bitcoin support near $113,000 (20/50-week MAs), resistance zone $116–117K, and the decisive $120,000 level; an unfilled CME gap around $116K could trigger short-term pullbacks.Narratives to watch: ETH’s leadership potential, privacy coins (ZEC) strength after big gains, and the disruptive Buy402 payment protocol enabling autonomous machine-to-machine economies.Macro & institutional catalysts: Fed policy/QT, earnings from MicroStrategy and Coinbase, and geopolitical/regulatory moves in Asia and Japan that could steer liquidity and market direction.

Oct 27, 2025

16 min

Oct 24, 2025

16 min

This episode unpacks the surprising divergence: global equities racing to new highs after a softer-than-expected CPI print, while crypto grinds and fails to sustain rallies.
We highlight six macro forces supporting a year-end risk rally, a massive $800 billion retail rotation into crypto-themed equities (especially from South Korea), and big institutional signs like JP Morgan preparing to accept BTC and ETH as collateral.
Tactical takeaways: Bitcoin needs a decisive daily close above $110,600 to confirm the bull trend, Ether faces significant timing risk, and the best approach now is disciplined risk management—wait, watch, and prepare.Subscribe to our daily Free Crypto Newsletter: https://crypto.report

Oct 24, 2025

16 min

Oct 23, 2025

15 min

This episode cuts through market noise with three perspectives: a technical crypto report that pins a potential $180K Bitcoin rally to a BTC-vs-Gold ratio reversal and friendly macro data; Benjamin Cowan’s historical warning that the four-year cycle points to a Q4 peak or a looming top; and the 1000X podcast’s structural view that institutional buyers and new infrastructure could be creating a durable, sideways bullish market.
We highlight key levels to watch (BTC vs Gold support, 50-week MA), upcoming macro catalysts (CPI, FOMC), and what it means for altcoins, dominance, and long-term adoption—ending with the single takeaway: discipline and positioning are essential as markets may be shifting from retail-driven cycles to institutional and machine-driven dynamics.Subscribe to our daily Free Crypto Newsletter: https://crypto.report

Oct 23, 2025

15 min

Oct 22, 2025

11 min

This episode breaks down the recent lightning-fast crypto reversal that began with a historic gold sell-off and morphed into a global risk-off move driven by geopolitical headlines.
We cover the immediate triggers, the loaded macro calendar ahead (CPI and the FOMC), why the $106,000 level matters, and the technical split in analyst views.
Then we explore two competing medium-term narratives: continued consolidation into Bitcoin dominance versus a new institutional wave into regulated altcoins and DeFi, highlighted by Fed engagement, major banks’ interest, and international ETF moves.
Finally, we summarize the regulatory frictions and adoption signals shaping the path forward and the central question: does institutional plumbing favor Bitcoin as electronic gold or programmable, compliant altcoins?Subscribe to our daily Free Crypto Newsletter: https://crypto.report

Oct 22, 2025

11 min

Copyright 2025 All rights reserved.

Podcast Powered By Podbean

Version: 20241125