Are increasing bond yields a threat to Crypto’s parabolic rise?

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Looking to the bond market to try and foresee large corrections for BTC and ETH.

Crypto and US Stocks were highly correlated last year. Could this rise in the US10Y just be a bull trap or is it moving back up sooner than expected?

Could this be the beginning of a major correction for stocks and therefore crypto?

I have set an alert at 1.5% and watching out for 1.7%.

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Long term hodler. Taking this amazing puzzle one piece at a time.
Note
BTC and ETH corrected sharply on Monday and first alert hit.

Setting next for 1.7%

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