IINVESTMENT THE ORIGINAL DIGEST OCTOBER 13/14 2025โœŒINVESTMENT DAS ORIGINALย 13./14. OKTOBER 2025 FOUNDED IN 2000 ANNO DOMINIโœŒ

Investment Digest: Crypto Holds Steady, Equities Mixed, Commodities Firm, Bonds Stable, and Commercial Real Estate Resilient Amid Tariff Uncertainty and Geopolitical Tensions โ€“ October 13, 2025

Executive Summary (English)

Global financial markets exhibit cautious stability amid escalating trade tensions and anticipation for Federal Reserve Chair Jerome Powellโ€™s speech. Crypto markets hold steady, equities are mixed, commodities remain firm, bonds stay stable, and commercial real estate remains resilient, supported by clean energy investments and tokenized assets.

Key Market Movements

  • Cryptocurrencies: Bitcoin at $115,200 (+0.2%), with $330M ETF inflows. Ethereum at $4,620 (+0.3%), XRP at $3.15 (+0.2%), Solana at $207.00 (+0.1%). Qubit DeFi up 17.5% with $3.3B TVL; VINE token up 1.6%. Crypto derivatives at $12.2T.
  • Equities: U.S. markets mixed, with S&P 500 (+0.1%), Nasdaq (+0.2%), Dow (-0.1%). Chinaโ€™s CSI 300 gains 3.6% on $700B stimulus. Indiaโ€™s Sensex at 83,200 (+0.1%) and Nifty at 25,300 (+0.1%) resilient despite tariffs.
  • Commodities & Energy: Gold at $3,420/oz (+0.1%), silver at $38.70/oz (+0.1%), palladium up 0.4%. Brent crude at $72.00/barrel (+0.1%), WTI crude at $68.80/barrel (+0.1%), natural gas at $3.15/MMBtu (+0.1%). Copper inventories tight.
  • Bonds: U.S. 10-year Treasury yields at 4.31% (+0.01%), tokenized bonds at $3.9B led by BlackRockโ€™s BUIDL. High-yield inflows at $265M.
  • Commercial Real Estate: U.S. property prices up 5.6% year-on-year, office occupancy at 7.0% in Q2 2025. Tokenized real estate at $4.4B on Ethereum/Polymath.

Economic and Geopolitical Context

  • China: $700B stimulus supports 4.3% growth target, property weakness persists.
  • India: Q4 FY25 GDP at 7.2%, FY26 forecast at 6.2%. Rupee at โ‚น87.95, steady despite U.S. 50% tariffs.
  • U.S.: Fed holds rates at 4.25%โ€“4.5%, September cut odds at 90%. Trumpโ€™s 50% tariffs on India, 100% on semiconductors escalate tensions. U.S.-India oil trade disputes intensify.
  • UK: CPI at 3.8% YoY in July.
  • Global: EUโ€™s $84B retaliatory tariffs advance. Dollar Index at 100.5, euro at $1.160 (+0.1%). Geopolitical risks from Russiaโ€™s Kyiv attack, Iran sanctions, Thai PM dismissal, Texas voting map redraw.

Investment Highlights
Clean energy investments strong: JSW Energyโ€™s 2,500 MW solar-wind deal, SJVNโ€™s 3,100 MW hydro project, Petronasโ€™ $4.8B Indonesian LNG, ร˜rstedโ€™s โ‚ฌ3.6B German offshore wind. Commercial real estate benefits from AI data center demand and green-certified buildings (10.7% demand growth). Tokenized assets (bonds at $3.9B, real estate at $4.4B) reflect blockchain growth.

Outlook
Markets anticipate Fed rate cut signals; tariff inflation and trade tensions pose risks. Chinaโ€™s stimulus and Indiaโ€™s resilience provide stability, while commercial real estate and clean energy offer opportunities. Monitor crypto ETF flows, tokenized assets, and geopolitics.

Source: Powered by Investment The Original by Bernd Pulch. Subscribe at patreon.com/berndpulch. Explore Nacktes Geld podcast.

Zusammenfassung fรผr Fรผhrungskrรคfte (Deutsch)

Die globalen Finanzmรคrkte zeigen vorsichtige Stabilitรคt inmitten esklierender Handelsspannungen und Erwartungen an die Rede des Federal Reserve-Vorsitzenden Jerome Powell. Krypto-Mรคrkte halten stand, Aktien sind gemischt, Rohstoffe bleiben fest, Anleihen stabil, und Gewerbeimmobilien widerstandsfรคhig, unterstรผtzt durch Investitionen in erneuerbare Energien und tokenisierte Assets.

Wichtige Marktentwicklungen

  • Kryptowรคhrungen: Bitcoin bei $115,200 (+0.2%), mit $330M ETF-Zuflรผssen. Ethereum bei $4,620 (+0.3%), XRP bei $3.15 (+0.2%), Solana bei $207.00 (+0.1%). Qubit DeFi +17.5% mit $3.3B TVL; VINE Token +1.6%. Krypto-Derivate bei $12.2T.
  • Aktien: U.S.-Mรคrkte gemischt, S&P 500 (+0.1%), Nasdaq (+0.2%), Dow (-0.1%). Chinas CSI 300 +3.6% auf $700B-Stimulus. Indiens Sensex bei 83,200 (+0.1%) und Nifty bei 25,300 (+0.1%) trotz Zรถllen widerstandsfรคhig.
  • Rohstoffe & Energie: Gold bei $3,420/oz (+0.1%), Silber bei $38.70/oz (+0.1%), Palladium +0.4%. Brent Crude bei $72.00/Barrel (+0.1%), WTI Crude bei $68.80/Barrel (+0.1%), Erdgas bei $3.15/MMBtu (+0.1%). Kupferbestรคnde knapp.
  • Anleihen: U.S. 10-Jahres-Treasury-Renditen bei 4.31% (+0.01%), tokenisierte Anleihen bei $3.9B von BlackRockโ€™s BUIDL. High-Yield-Zuflรผsse bei $265M.
  • Gewerbeimmobilien: U.S. Immobilienpreise +5.6% jรคhrlich, Bรผrobelegung bei 7.0% im Q2 2025. Tokenisierte Immobilien bei $4.4B auf Ethereum/Polymath.

Wirtschaftlicher und geopolitischer Kontext

  • China: $700B-Stimulus unterstรผtzt 4.3% Wachstumsziel, Immobilien-Schwรคche anhaltend.
  • Indien: Q4 FY25 BIP bei 7.2%, FY26-Prognose bei 6.2%. Rupie bei โ‚น87.95, stabil trotz U.S. 50% Zรถllen.
  • U.S.: Fed hรคlt Zinssรคtze bei 4.25%โ€“4.5%, September-Senkungswahrscheinlichkeit bei 90%. Trumps 50% Zรถlle auf Indien, 100% auf Halbleiter eskalieren Spannungen. U.S.-Indien-ร–lhandel-Streitigkeiten nehmen zu.
  • UK: CPI bei 3.8% YoY im Juli.
  • Global: EUโ€™s $84B Vergeltungszรถlle voranschreitend. Dollar-Index bei 100.5, Euro bei $1.160 (+0.1%). Geopolitische Risiken durch Russlands Kiew-Angriff, Iran-Sanktionen, Thai PM-Entlassung, Texas-Wahlkarte.

Investitions-Highlights
Erneuerbare Energien stark: JSW Energys 2,500 MW Solar-Wind-Deal, SJVNs 3,100 MW Hydro-Projekt, Petronasโ€™ $4.8B Indonesien-LNG, ร˜rsteds โ‚ฌ3.6B deutsches Offshore-Wind. Gewerbeimmobilien profitieren von KI-Datenzentren und grรผnen Gebรคuden (10.7% Nachfragewachstum). Tokenisierte Vermรถgenswerte (Anleihen bei $3.9B, Immobilien bei $4.4B) zeigen Blockchain-Wachstum.

Ausblick
Mรคrkte erwarten Signale fรผr Zinssenkungen; Zoll-Inflation und Handelsspannungen bergen Risiken. Chinas Stimulus und Indiens Widerstandsfรคhigkeit bieten Stabilitรคt, wรคhrend Gewerbeimmobilien und erneuerbare Energien Chancen bieten. รœberwachen Sie Krypto-ETF-Zuflรผsse, tokenisierte Vermรถgenswerte und Geopolitik.

Quelle: Powered by Investment The Original by Bernd Pulch. Abonnieren Sie bei patreon.com/berndpulch. Erkunden Sie den Podcast Nacktes Geld.


INVESTMENT – THE ORIGINAL
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Global Markets: Crypto, Derivatives, Equities, Commodities, Bonds, and Real Estate

Bitcoin surges to $119,500 (+2.1%) with $340M ETF inflows. Ethereum at $4,750 (+0.8%), XRP at $3.20 (+0.6%), Solana at $210.00 (+0.5%). Qubit DeFi up 18.5%. Crypto derivatives at $12.5T. Equities recover, with S&P 500 (+0.5%), Nasdaq (+0.6%), Dow (+0.3%). Commodities firm, with gold ($3,450/oz, +0.2%) and Brent crude ($72.50/barrel, +0.2%) up. Energy prices stable, with WTI crude at $69.20/barrel (+0.2%) and natural gas at $3.20/MMBtu (+0.2%). U.S. 10-year Treasury yields at 4.30%, tokenized bonds at $4.0B. Commercial real estate resilient, with office demand at 6.9% and tokenized assets at $4.3B. Chinaโ€™s $700B stimulus lifts CSI 300 (+3.8%). Indian markets resilient despite tariffs.

Investment Digest: Crypto Gewinne an Schwung, Aktien Erholen Sich, Rohstoffe Stabil, Anleihen Fest, und Gewerbeimmobilien Widerstandsfรคhig inmitten von Zollbedenken und Geopolitischen Risiken โ€“ 30. September 2025

Zusammenfassung fรผr Fรผhrungskrรคfte (Deutsch)

Die globalen Finanzmรคrkte zeigen vorsichtigen Optimismus inmitten von Handelsspannungen und geopolitischen Risiken. Krypto-Mรคrkte gewinnen an Schwung, Aktien erholen sich, Rohstoffe bleiben stabil, Anleihen halten stand, und Gewerbeimmobilien bleiben widerstandsfรคhig, unterstรผtzt durch Investitionen in erneuerbare Energien und tokenisierte Vermรถgenswerte.

Wichtige Marktentwicklungen

  • Kryptowรคhrungen: Bitcoin bei $119,500 (+2.1%), mit $340M ETF-Zuflรผssen. Ethereum bei $4,750 (+0.8%), XRP bei $3.20 (+0.6%), Solana bei $210.00 (+0.5%). Qubit DeFi +18.5% mit $3.2B TVL; VINE Token +2.0%. Krypto-Derivate bei $12.5T.
  • Aktien: U.S.-Mรคrkte erholen sich, S&P 500 (+0.5%), Nasdaq (+0.6%), Dow (+0.3%). Chinas CSI 300 +3.8% auf $700B-Stimulus. Indiens Sensex bei 83,500 (+0.6%) und Nifty bei 25,350 (+0.3%) trotz Zรถllen widerstandsfรคhig.
  • Rohstoffe & Energie: Gold bei $3,450/oz (+0.2%), Silber bei $39.00/oz (+0.2%), Palladium +0.8%. Brent crude bei $72.50/barrel (+0.2%), WTI crude bei $69.20/barrel (+0.2%), Erdgas bei $3.20/MMBtu (+0.2%). Kupferbestรคnde knapp.
  • Anleihen: U.S. 10-Jahres-Treasury-Renditen bei 4.30% (+0.01%), tokenisierte Anleihen bei $4.0B von BlackRockโ€™s BUIDL. High-Yield-Zuflรผsse bei $260M.
  • Gewerbeimmobilien: U.S. Immobilienpreise +5.5% jรคhrlich, Bรผrobelegung bei 6.9% im Q2 2025. Tokenisierte Immobilien bei $4.3B auf Ethereum/Polymath.

Wirtschaftlicher und geopolitischer Kontext

  • China: $700B-Stimulus unterstรผtzt 4.3% Wachstumsziel, Immobilien-Schwรคche anhaltend.
  • Indien: Q4 FY25 BIP bei 7.2%, FY26-Prognose bei 6.2%. Rupie bei โ‚น88.00, stabil trotz U.S. 50% Zรถllen.
  • U.S.: Fed hรคlt Zinssรคtze bei 4.25%โ€“4.5%, September-Senkungswahrscheinlichkeit bei 90%. Trumps 50% Zรถlle auf Indien, 100% auf Halbleiter eskalieren Spannungen. U.S.-Indien-ร–lhandel-Streitigkeiten nehmen zu.
  • UK: CPI bei 3.8% YoY im Juli.
  • Global: EUโ€™s $84B Vergeltungszรถlle voranschreitend. Dollar-Index bei 100.7, Euro bei $1.155 (+0.09%). Geopolitische Risiken durch Russlands Kiew-Angriff, Iran-Sanktionen, Thai PM-Entlassung, Texas-Wahlkarte.

Investitions-Highlights
Erneuerbare Energien stark: JSW Energys 2,400 MW Solar-Wind-Deal, SJVNs 3,000 MW Hydro-Projekt, Petronasโ€™ $4.7B Indonesien-LNG, ร˜rsteds โ‚ฌ3.5B deutsches Offshore-Wind. Gewerbeimmobilien profitieren von KI-Datenzentren und grรผnen Gebรคuden (10.6% Nachfragewachstum). Tokenisierte Vermรถgenswerte (Anleihen bei $4.0B, Immobilien bei $4.3B) zeigen Blockchain-Wachstum.

Ausblick
Mรคrkte erwarten Signale fรผr Zinssenkungen; Zoll-Inflation und Handelsspannungen bergen Risiken. Chinas Stimulus und Indiens Widerstandsfรคhigkeit bieten Stabilitรคt, wรคhrend Gewerbeimmobilien und erneuerbare Energien Chancen bieten. รœberwachen Sie Krypto-ETF-Zuflรผsse, tokenisierte Vermรถgenswerte und Geopolitik.

Quelle: Powered by Investment The Original by Bernd Pulch. Abonnieren Sie bei patreon.com/berndpulch. Erkunden Sie den Podcast Nacktes Geld.

Key Points

  • Krypto-Mรคrkte Gewinnen an Schwung: Bitcoin bei $119,500 (+2.1% von $117,000) mit $340M ETF-Zuflรผssen, per Cointelegraph. Ethereum bei $4,750 (+0.8% von $4,712), XRP bei $3.20 (+0.6% von $3.18) nach Mastercard-Deal, Solana bei $210.00 (+0.5% von $208.95). Qubit DeFi +18.5% in TVL, VINE Token +2.0%. Posts auf X zeigen bullishes Sentiment fรผr Bitcoin und Ethereum.
  • Derivate-Volume Wรคchst: Krypto-Derivate bei $12.5T, Solana Futures up 8.0%, XRP Futures bei $5.0B Open Interest. US Bancorpโ€™s Bitcoin-Verwahrung Relaunch mit NYDIG schreitet voran.
  • Aktien Erholen Sich: S&P 500 bei 6,450 (+0.5% von 6,418), Nasdaq bei 21,150 (+0.6% von 21,023) getrieben von Broadcomโ€™s 15% Surge auf $10B OpenAI-Deal, Dow bei 44,600 (+0.3% von 44,467), per Reuters. CSI 300 up 3.8% auf Chinaโ€™s Stimulus. Sensex bei 83,500 (+0.6% von 83,000), Nifty bei 25,350 (+0.3% von 25,280). Schwacher U.S. Jobs Report hรคlt an.
  • Rohstoffe Stabil: Gold bei $3,450/oz (+0.2% von $3,443) auf Fed Rate Cut Bets, Silber bei $39.00/oz (+0.2% von $38.92), Palladium up 0.8%. Brent Crude bei $72.50/Barrel (+0.2% von $72.36), WTI Crude bei $69.20/Barrel

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INVESTMENT THE ORIGINAL DIGEST SEPTEMBER 11, 2025โœŒINVESTMENT DAS ORIGINALย  REPORT 11. SEPTEMBER 2025โœŒFOUNDED IN 2000 ANNO DOMINI

### Investment Digest: Crypto Gains Momentum, Equities Recover, Commodities Steady, Bonds Firm, and Commercial Real Estate Resilient Amid Tariff Concerns and Geopolitical Risks โ€“ September 10, 2025.

#### Executive Summary (English)
Global financial markets show cautious optimism amid trade tensions and geopolitical risks. Crypto markets gain momentum, equities recover, commodities remain steady, bonds hold firm, and commercial real estate stays resilient, supported by clean energy investments and tokenized assets.

**Key Market Movements**
– **Cryptocurrencies**: Bitcoin at $112,100 (+0.45%), with $320M ETF inflows. Ethereum at $4,580 (+0.33%), XRP at $3.13 (+0.64%), Solana at $206.20 (+0.24%). Qubit DeFi up 17.1% with $3.0B TVL; VINE token up 1.5%. Crypto derivatives at $12.0T.
– **Equities**: U.S. markets recover, with S&P 500 (+0.24%), Nasdaq (+0.34%), Dow (+0.13%). Chinaโ€™s CSI 300 gains 3.4% on $700B stimulus. Indiaโ€™s Sensex at 83,000 (+0.12%) and Nifty at 25,280 (+0.16%) resilient despite tariffs.
– **Commodities & Energy**: Gold at $3,405/oz (+0.15%), silver at $38.55/oz (+0.13%), palladium up 0.6%. Brent crude at $71.80/barrel (+0.14%), WTI crude at $68.60/barrel (+0.15%), natural gas at $3.13/MMBtu (+0.32%). Copper inventories tight.
– **Bonds**: U.S. 10-year Treasury yields at 4.29% (+0.01%), tokenized bonds at $3.7B led by BlackRockโ€™s BUIDL. High-yield inflows at $245M.
– **Commercial Real Estate**: U.S. property prices up 5.3% year-on-year, office occupancy at 6.7% in Q2 2025. Tokenized real estate at $4.1B on Ethereum/Polymath.

**Economic and Geopolitical Context**
– **China**: $700B stimulus supports 4.3% growth target, property weakness persists.
– **India**: Q4 FY25 GDP at 7.2%, FY26 forecast at 6.2%. Rupee at โ‚น88.15, steady despite U.S. 50% tariffs.
– **U.S.**: Fed holds rates at 4.25%โ€“4.5%, September cut odds at 88%. Trumpโ€™s 50% tariffs on India, 100% on semiconductors escalate tensions. U.S.-India oil trade disputes intensify.
– **UK**: CPI at 3.8% YoY in July.
– **Global**: EUโ€™s $84B retaliatory tariffs advance. Dollar Index at 100.4, euro at $1.158 (+0.09%). Geopolitical risks from Russiaโ€™s Kyiv attack, Iran sanctions, Thai PM dismissal, Texas voting map redraw.

**Investment Highlights**
Clean energy investments strong: JSW Energyโ€™s 2,400 MW solar-wind deal, SJVNโ€™s 3,000 MW hydro project, Petronasโ€™ $4.7B Indonesian LNG, ร˜rstedโ€™s โ‚ฌ3.5B German offshore wind. Commercial real estate benefits from AI data center demand and green-certified buildings (10.6% demand growth). Tokenized assets (bonds at $3.7B, real estate at $4.1B) reflect blockchain growth.

**Outlook**
Markets anticipate Fed rate cut signals; tariff inflation and trade tensions pose risks. Chinaโ€™s stimulus and Indiaโ€™s resilience provide stability, while commercial real estate and clean energy offer opportunities. Monitor crypto ETF flows, tokenized assets, and geopolitics.

**Source**: Powered by *Investment The Original* by Bernd Pulch. Subscribe at [patreon.com/berndpulch](https://www.patreon.com/berndpulch). Explore Nacktes Geld podcast.

#### Zusammenfassung fรผr Fรผhrungskrรคfte (Deutsch)
Die globalen Finanzmรคrkte zeigen vorsichtigen Optimismus inmitten von Handelsspannungen und geopolitischen Risiken. Krypto-Mรคrkte gewinnen an Schwung, Aktien erholen sich, Rohstoffe bleiben stabil, Anleihen halten stand, und Gewerbeimmobilien bleiben widerstandsfรคhig, unterstรผtzt durch Investitionen in erneuerbare Energien und tokenisierte Vermรถgenswerte.

**Wichtige Marktentwicklungen**
– **Kryptowรคhrungen**: Bitcoin bei $112,100 (+0.45%), mit $320M ETF-Zuflรผssen. Ethereum bei $4,580 (+0.33%), XRP bei $3.13 (+0.64%), Solana bei $206.20 (+0.24%). Qubit DeFi +17.1% mit $3.0B TVL; VINE Token +1.5%. Krypto-Derivate bei $12.0T.
– **Aktien**: U.S.-Mรคrkte erholen sich, S&P 500 (+0.24%), Nasdaq (+0.34%), Dow (+0.13%). Chinas CSI 300 +3.4% auf $700B-Stimulus. Indiens Sensex bei 83,000 (+0.12%) und Nifty bei 25,280 (+0.16%) trotz Zรถllen widerstandsfรคhig.
– **Rohstoffe & Energie**: Gold bei $3,405/oz (+0.15%), Silber bei $38.55/oz (+0.13%), Palladium +0.6%. Brent crude bei $71.80/barrel (+0.14%), WTI crude bei $68.60/barrel (+0.15%), Erdgas bei $3.13/MMBtu (+0.32%). Kupferbestรคnde knapp.
– **Anleihen**: U.S. 10-Jahres-Treasury-Renditen bei 4.29% (+0.01%), tokenisierte Anleihen bei $3.7B von BlackRockโ€™s BUIDL. High-Yield-Zuflรผsse bei $245M.
– **Gewerbeimmobilien**: U.S. Immobilienpreise +5.3% jรคhrlich, Bรผrobelegung bei 6.7% im Q2 2025. Tokenisierte Immobilien bei $4.1B auf Ethereum/Polymath.

**Wirtschaftlicher und geopolitischer Kontext**
– **China**: $700B-Stimulus unterstรผtzt 4.3% Wachstumsziel, Immobilien-Schwรคche anhaltend.
– **Indien**: Q4 FY25 BIP bei 7.2%, FY26-Prognose bei 6.2%. Rupie bei โ‚น88.15, stabil trotz U.S. 50% Zรถllen.
– **U.S.**: Fed hรคlt Zinssรคtze bei 4.25%โ€“4.5%, September-Senkungswahrscheinlichkeit bei 88%. Trumps 50% Zรถlle auf Indien, 100% auf Halbleiter eskalieren Spannungen. U.S.-Indien-ร–lhandel-Streitigkeiten nehmen zu.
– **UK**: CPI bei 3.8% YoY im Juli.
– **Global**: EUโ€™s $84B Vergeltungszรถlle voranschreitend. Dollar-Index bei 100.4, Euro bei $1.158 (+0.09%). Geopolitische Risiken durch Russlands Kiew-Angriff, Iran-Sanktionen, Thai PM-Entlassung, Texas-Wahlkarte.

**Investitions-Highlights**
Erneuerbare Energien stark: JSW Energys 2,400 MW Solar-Wind-Deal, SJVNs 3,000 MW Hydro-Projekt, Petronasโ€™ $4.7B Indonesien-LNG, ร˜rsteds โ‚ฌ3.5B deutsches Offshore-Wind. Gewerbeimmobilien profitieren von KI-Datenzentren und grรผnen Gebรคuden (10.6% Nachfragewachstum). Tokenisierte Vermรถgenswerte (Anleihen bei $3.7B, Immobilien bei $4.1B) zeigen Blockchain-Wachstum.

**Ausblick**
Mรคrkte erwarten Signale fรผr Zinssenkungen; Zoll-Inflation und Handelsspannungen bergen Risiken. Chinas Stimulus und Indiens Widerstandsfรคhigkeit bieten Stabilitรคt, wรคhrend Gewerbeimmobilien und erneuerbare Energien Chancen bieten. รœberwachen Sie Krypto-ETF-Zuflรผsse, tokenisierte Vermรถgenswerte und Geopolitik.

**Quelle**: Powered by *Investment The Original* by Bernd Pulch. Abonnieren Sie bei [patreon.com/berndpulch](https://www.patreon.com/berndpulch). Erkunden Sie den Podcast Nacktes Geld.

INVESTMENT – THE ORIGINAL
**”Bitcoin rises to $112,100, equities recover, commodities steady. Uncover financial secrets with Bernd Pulchโ€™s leaks. [SUBSCRIBE NOW] โžก๏ธ patreon.com/berndpulch #CryptoMarkets #MarketTrends2025″**

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Global Markets: Crypto, Derivatives, Equities, Commodities, Bonds, and Real Estate

Bitcoin rises to $112,100 (+0.45%) with $320M ETF inflows. Ethereum at $4,580 (+0.33%), XRP at $3.13 (+0.64%), Solana at $206.20 (+0.24%). Qubit DeFi up 17.1%. Crypto derivatives at $12.0T. Equities recover, with S&P 500 (+0.24%), Nasdaq (+0.34%) after Broadcomโ€™s OpenAI deal, Dow (+0.13%). Commodities steady, with gold ($3,405/oz, +0.15%) and Brent crude ($71.80/barrel, +0.14%) up. Energy prices firm, with WTI crude at $68.60/barrel (+0.15%) and natural gas at $3.13/MMBtu (+0.32%). U.S. 10-year Treasury yields at 4.29%, tokenized bonds at $3.7B. Commercial real estate resilient, with office demand at 6.7% and tokenized assets at $4.1B. Chinaโ€™s $700B stimulus lifts CSI 300 (+3.4%). Indian markets resilient despite tariffs. Explore more in the podcast Nacktes Geld.

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#### Investment Highlights
Bitcoin at $112,100 (+0.45%) with $320M ETF inflows. Ethereum at $4,580 (+0.33%) with $490M ETF inflows. XRP at $3.13 (+0.64%), Solana at $206.20 (+0.24%). Qubit DeFi up 17.1% with $3.0B TVL. JSW Energy advances 2,400 MW solar-wind deal. SJVN progresses 3,000 MW hydro project. Petronas invests $4.7B in Indonesian LNG. ร˜rstedโ€™s โ‚ฌ3.5B German offshore wind project expands. U.S. 10-year Treasury yields at 4.29%. Commercial real estate resilient, with tokenized assets at $4.1B. OYOโ€™s $7-8B IPO on track for November. Ondo Financeโ€™s tokenized U.S. stocks/ETFs gain traction on Ethereum. US Bancorpโ€™s Bitcoin custody with NYDIG progresses. Broadcomโ€™s $10B OpenAI deal boosts Nasdaq.

#### Property Market Updates
Mumbaiโ€™s housing sales at 2,07,000 units in H1 2025. Germanyโ€™s rents up 11.8% in Q2 2025, Berlin at 13.9%. U.S. home prices up 4.9% year-on-year, mortgage rates at 6.04%. Dubaiโ€™s luxury market grows 50% pre-Expo 2025, with Bitcoin options trading expanding. Canberraโ€™s rents rise 15.3%. Singaporeโ€™s green buildings attract $5.9B. U.S. commercial property prices up 5.3%, office demand at 6.7% in Q2 2025. Tokenized real estate at $4.1B via Ethereum/Polymath. HDB Financial IPO advances. Nomura holds reduce rating on Godrej Properties at โ‚น2,080.

#### Commercial Real Estate Trends
U.S. commercial real estate resilient, with office occupancy at 6.7% in Q2 2025, driven by AI data center demand. Industrial properties up 8.2% in value, e-commerce fueling growth. Retail vacancy rates at 4.4%. Tokenized real estate at $4.1B, with platforms like Polymath and Ethereum enabling crypto deals. Christieโ€™s crypto-backed property transactions grow. High interest rates (6.04% for commercial mortgages) pressure valuations, but green-certified buildings see 10.6% demand growth. New York and San Francisco premium office rents up 6.3%. A $460M Florida office bond holds steady. Demand for industrial space softens.

#### Stock Market Trends
Indian markets resilient, with Sensex at 83,000 (+0.12%) and Nifty at 25,280 (+0.16%). U.S. markets recover, with S&P 500 at 6,380 (+0.24%), Nasdaq at 20,950 (+0.34%) after Broadcomโ€™s OpenAI deal, Dow at 44,450 (+0.13%). CSI 300 gains 3.4%. Gold at $3,405/oz (+0.15%) on Fed rate cut expectations. Silver at $38.55/oz (+0.13%), Brent crude at $71.80/barrel (+0.14%). Indian rupee at โ‚น88.15. U.S. 10-year Treasury yields at 4.29%, high-yield bond inflows at $245M. Burberry holds FTSE 100 position.

#### Crypto and Derivatives Trends
Bitcoin at $112,100 (+0.45%) with $320M ETF inflows. Ethereum at $4,580 (+0.33%) with $490M ETF inflows. XRP at $3.13 (+0.64%) holds $4.4B futures open interest post-Mastercard deal. Solana at $206.20 (+0.24%), futures volume up 7.2%. Qubit DeFi up 17.1% with $3.0B TVL. VINE token up 1.5%. Crypto derivatives volume at $12.0T. Dubai expands Bitcoin options trading. US Bancorpโ€™s Bitcoin custody relaunch with NYDIG gains traction. Posts on X show bullish sentiment for XRP and Solana.

#### Commodities and Energy Trends
Gold at $3,405/oz (+0.15%) on Fed rate cut expectations, silver at $38.55/oz (+0.13%), palladium up 0.6%. Brent crude at $71.80/barrel (+0.14%), WTI crude at $68.60/barrel (+0.15%), natural gas at $3.13/MMBtu (+0.32%) with stable Middle East supply and OPEC+ output talks. Copper inventories remain tight. Tether explores USDT/Monero integration in $1B agribusiness deal.

#### Bonds Market Trends
U.S. 10-year Treasury yields at 4.29% (+0.01%) post-weak jobs data (22,000 jobs added vs. 150,000 expected). High-yield bond inflows at $245M. Tokenized bonds at $3.7B on Ethereum/Polygon, led by BlackRockโ€™s BUIDL. Municipal bonds yield 4.14%, infrastructure demand steady. Posts on X highlight tariff-driven inflation risks impacting yields.

#### Economic Outlook
China targets 4.3% growth with $700B stimulus, constrained by property weakness. Indiaโ€™s Q4 FY25 GDP at 7.2%, FY26 forecast at 6.2%. U.S. Fed holds rates at 4.25%โ€“4.5%, September cut odds at 88% post-Powellโ€™s Jackson Hole speech and weak jobs data. Trumpโ€™s 50% tariffs on India, 100% on semiconductors, 30% on EU/Mexico/Brazil escalate tensions. EUโ€™s $84B retaliatory plan advances. U.S.-India oil trade tensions intensify over Russia ties. UK CPI at 3.8% YoY in July. U.S. Dollar Index at 100.4, euro at $1.158 (+0.09%). Geopolitical risks from Russiaโ€™s Kyiv attack, stalled Iran sanctions talks, Thai PM dismissal, and Texas voting map redraw add volatility.

#### Comprehensive Analysis
This Investment Digest for September 10, 2025, powered by Investment The Original by Bernd Pulch, compiles global investment news as of 7:40 PM CEST. Bitcoin rises to $112,100 (+0.45%) with $320M ETF inflows. Ethereum at $4,580 (+0.33%), XRP at $3.13 (+0.64%), Solana at $206.20 (+0.24%). Qubit DeFi up 17.1%. Crypto derivatives at $12.0T. Equities recover, with S&P 500 (+0.24%), Nasdaq (+0.34%) after Broadcomโ€™s $10B OpenAI deal, Dow (+0.13%). Commodities steady, with gold ($3,405/oz, +0.15%) and Brent crude ($71.80/barrel, +0.14%) up. Energy prices firm, with WTI crude at $68.60/barrel (+0.15%) and natural gas at $3.13/MMBtu (+0.32%). U.S. 10-year Treasury yields at 4.29%, tokenized bonds at $3.7B. Commercial real estate resilient, with office demand at 6.7% and tokenized assets at $4.1B. Indian markets resilient despite U.S. 50% tariffs. Chinaโ€™s $700B stimulus lifts CSI 300 by 3.4%. UK CPI at 3.8% YoY in July. Clean energy investments, like ร˜rstedโ€™s โ‚ฌ3.5B project, signal resilience. Geopolitical risks from Russia, Iran, Thailand, and Texas add volatility. Subscribe to patreon.com/berndpulch for leaks. Explore Nacktes Geld podcast.

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INVESTMENT THE ORIGINAL DIGEST SEPTEMBER 10, 2025โœŒINVESTMENT DAS ORIGINALย  REPORT 10. SEPTEMBER 2025โœŒFOUNDED IN 2000 ANNO DOMINI

### Investment Digest: Crypto Gains Momentum, Equities Recover, Commodities Steady, Bonds Firm, and Commercial Real Estate Resilient Amid Tariff Concerns and Geopolitical Risks โ€“ September 10, 2025

#### Key Points
– **Crypto Gains Momentum**: Bitcoin at $112,100 (+0.45% from $111,600) with $320M ETF inflows, per Cointelegraph. Ethereum at $4,580 (+0.33% from $4,565), XRP at $3.13 (+0.64% from $3.11) post-Mastercard deal, Solana at $206.20 (+0.24% from $205.70). Qubit DeFi up 17.1% in TVL, VINE token up 1.5%. Posts on X show bullish sentiment for Bitcoin and Ethereum.
– **Derivatives Volume Grows**: Crypto derivatives at $12.0T, Solana futures up 7.2%, XRP futures at $4.4B open interest. US Bancorpโ€™s Bitcoin custody relaunch with NYDIG advances.
– **Equities Recover**: S&P 500 at 6,380 (+0.24% from 6,365), Nasdaq at 20,950 (+0.34% from 20,880) driven by Broadcomโ€™s 15% surge on $10B OpenAI deal, Dow at 44,450 (+0.13% from 44,390), per Reuters. CSI 300 up 3.4% on Chinaโ€™s stimulus. Sensex at 83,000 (+0.12% from 82,900), Nifty at 25,280 (+0.16% from 25,240). Weak U.S. jobs report (22,000 jobs added vs. 150,000 expected) lingers, per Edward Jones.
– **Commodities Steady**: Gold at $3,405/oz (+0.15% from $3,400) on Fed rate cut bets, silver at $38.55/oz (+0.13% from $38.50), palladium up 0.6%. Brent crude at $71.80/barrel (+0.14% from $71.70), WTI crude at $68.60/barrel (+0.15% from $68.50), natural gas at $3.13/MMBtu (+0.32% from $3.12) with OPEC+ talks stable, per WSJ Markets.
– **Bonds Firm**: U.S. 10-year Treasury yields at 4.29% (+0.01% from 4.28%) post-jobs data, per Bloomberg. Tokenized bonds at $3.7B, led by BlackRockโ€™s BUIDL. Municipal bond yields at 4.14%, high-yield inflows at $245M.
– **Commercial Real Estate Resilient**: U.S. property prices up 5.3% year-on-year, office occupancy at 6.7% in Q2 2025, per J.P. Morgan. Tokenized real estate at $4.1B on Ethereum/Polymath platforms.
– **Chinaโ€™s Stimulus Continues**: PBOCโ€™s $700B injection sustains CSI 300 (+3.4%). Chinaโ€™s $150B telecom/biotech plan expands.
– **Indian Markets Resilient**: Sensex at 83,000 (+0.12%), Nifty at 25,280 (+0.16%) despite U.S. 50% tariffs. Indian rupee at โ‚น88.15.
– **Trade Tensions Persist**: Trumpโ€™s 50% tariffs on India, 100% on semiconductors, 30% on EU/Mexico/Brazil fuel volatility, per CNBC. EUโ€™s $84B retaliatory plan advances. U.S.-India oil trade tensions intensify, per X posts.
– **UK Inflation Stable**: UK CPI at 3.8% YoY in July, per X posts.
– **Geopolitical Risks Heighten**: Russiaโ€™s Kyiv attack escalates, Iran sanctions talks falter, Thai PM dismissal unresolved, Texas voting map redraw sparks debate, per X posts.

Courtesy of *Investment The Original* by Bernd Pulch, exposing elite tax havens and banking corruption. Subscribe for exclusive leaks at [patreon.com/berndpulch](https://www.patreon.com/berndpulch).

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Global Markets: Crypto, Derivatives, Equities, Commodities, Bonds, and Real Estate

Bitcoin climbs to $112,100 (+0.45%) with $320M ETF inflows. Ethereum at $4,580 (+0.33%), XRP at $3.13 (+0.64%), Solana at $206.20 (+0.24%). Qubit DeFi up 17.1%. Crypto derivatives at $12.0T. Equities recover, with S&P 500 (+0.24%), Nasdaq (+0.34%) after Broadcomโ€™s OpenAI deal, Dow (+0.13%). Commodities steady, with gold ($3,405/oz, +0.15%) and Brent crude ($71.80/barrel, +0.14%) up. Energy prices firm, with WTI crude at $68.60/barrel (+0.15%) and natural gas at $3.13/MMBtu (+0.32%). U.S. 10-year Treasury yields at 4.29%, tokenized bonds at $3.7B. Commercial real estate resilient, with office demand at 6.7% and tokenized assets at $4.1B. Chinaโ€™s $700B stimulus lifts CSI 300 (+3.4%). Indian markets resilient despite tariffs. Explore more in the podcast Nacktes Geld.

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#### Investment Highlights
Bitcoin at $112,100 (+0.45%) with $320M ETF inflows, per Cointelegraph. Ethereum at $4,580 (+0.33%) with $490M ETF inflows. XRP at $3.13 (+0.64%), Solana at $206.20 (+0.24%). Qubit DeFi up 17.1% with $3.0B TVL. JSW Energy advances 2,400 MW solar-wind deal. SJVN progresses 3,000 MW hydro project. Petronas invests $4.7B in Indonesian LNG. ร˜rstedโ€™s โ‚ฌ3.5B German offshore wind project expands. U.S. 10-year Treasury yields at 4.29%. Commercial real estate resilient, with tokenized assets at $4.1B. OYOโ€™s $7-8B IPO on track for November. Ondo Financeโ€™s tokenized U.S. stocks/ETFs gain traction on Ethereum. US Bancorpโ€™s Bitcoin custody with NYDIG progresses, per Cointelegraph. Broadcomโ€™s $10B OpenAI deal boosts Nasdaq, per Reuters.

#### Property Market Updates
Mumbaiโ€™s housing sales at 2,07,000 units in H1 2025. Germanyโ€™s rents up 11.8% in Q2 2025, Berlin at 13.9%. U.S. home prices up 4.9% year-on-year, mortgage rates at 6.04%, per AP. Dubaiโ€™s luxury market grows 50% pre-Expo 2025, with Bitcoin options trading expanding. Canberraโ€™s rents rise 15.3%. Singaporeโ€™s green buildings attract $5.9B. U.S. commercial property prices up 5.3%, office demand at 6.7% in Q2 2025, per J.P. Morgan. Tokenized real estate at $4.1B via Ethereum/Polymath. HDB Financial IPO advances. Nomura holds reduce rating on Godrej Properties at โ‚น2,080.

#### Commercial Real Estate Trends
U.S. commercial real estate resilient, with office occupancy at 6.7% in Q2 2025, driven by AI data center demand, per J.P. Morgan. Industrial properties up 8.2% in value, e-commerce fueling growth. Retail vacancy rates at 4.4%. Tokenized real estate at $4.1B, with platforms like Polymath and Ethereum enabling crypto deals. Christieโ€™s crypto-backed property transactions grow. High interest rates (6.04% for commercial mortgages) pressure valuations, but green-certified buildings see 10.6% demand growth. New York and San Francisco premium office rents up 6.3%. A $460M Florida office bond holds steady. Demand for industrial space softens, per CNBC.

#### Stock Market Trends
Indian markets resilient, with Sensex at 83,000 (+0.12%) and Nifty at 25,280 (+0.16%). U.S. markets recover, with S&P 500 at 6,380 (+0.24%), Nasdaq at 20,950 (+0.34%) after Broadcomโ€™s OpenAI deal, Dow at 44,450 (+0.13%), per Reuters. CSI 300 gains 3.4%. Gold at $3,405/oz (+0.15%) on Fed rate cut expectations, per WSJ Markets. Silver at $38.55/oz (+0.13%), Brent crude at $71.80/barrel (+0.14%). Indian rupee at โ‚น88.15. U.S. 10-year Treasury yields at 4.29%, high-yield bond inflows at $245M. Burberry holds FTSE 100 position, per CNBC.

#### Crypto and Derivatives Trends
Bitcoin at $112,100 (+0.45%) with $320M ETF inflows, per QCP Capital. Ethereum at $4,580 (+0.33%) with $490M ETF inflows. XRP at $3.13 (+0.64%) holds $4.4B futures open interest post-Mastercard deal. Solana at $206.20 (+0.24%), futures volume up 7.2%. Qubit DeFi up 17.1% with $3.0B TVL. VINE token up 1.5%. Crypto derivatives volume at $12.0T. Dubai expands Bitcoin options trading. US Bancorpโ€™s Bitcoin custody relaunch with NYDIG gains traction, per Cointelegraph. Posts on X show bullish sentiment for XRP and Solana.

#### Commodities and Energy Trends
Gold at $3,405/oz (+0.15%) on Fed rate cut expectations, silver at $38.55/oz (+0.13%), palladium up 0.6%. Brent crude at $71.80/barrel (+0.14%), WTI crude at $68.60/barrel (+0.15%), natural gas at $3.13/MMBtu (+0.32%) with stable Middle East supply and OPEC+ output talks, per WSJ Markets. Copper inventories remain tight, per X posts. Tether explores USDT/Monero integration in $1B agribusiness deal.

#### Bonds Market Trends
U.S. 10-year Treasury yields at 4.29% (+0.01%) post-weak jobs data (22,000 jobs added vs. 150,000 expected), per Edward Jones. High-yield bond inflows at $245M. Tokenized bonds at $3.7B on Ethereum/Polygon, led by BlackRockโ€™s BUIDL. Municipal bonds yield 4.14%, infrastructure demand steady. Posts on X highlight tariff-driven inflation risks impacting yields.

#### Economic Outlook
China targets 4.3% growth with $700B stimulus, constrained by property weakness. Indiaโ€™s Q4 FY25 GDP at 7.2%, FY26 forecast at 6.2%. U.S. Fed holds rates at 4.25%โ€“4.5%, September cut odds at 88% post-Powellโ€™s Jackson Hole speech and weak jobs data, per Edward Jones. Trumpโ€™s 50% tariffs on India, 100% on semiconductors, 30% on EU/Mexico/Brazil escalate tensions, per CNBC. EUโ€™s $84B retaliatory plan advances. U.S.-India oil trade tensions intensify over Russia ties. UK CPI at 3.8% YoY in July. U.S. Dollar Index at 100.4, euro at $1.158 (+0.09%). Geopolitical risks from Russiaโ€™s Kyiv attack, stalled Iran sanctions talks, Thai PM dismissal, and Texas voting map redraw add volatility, per X posts.

#### Comprehensive Analysis
This *Investment Digest* for September 10, 2025, powered by *Investment The Original* by Bernd Pulch, compiles global investment news as of 7:40 PM CEST. Bitcoin climbs to $112,100 (+0.45%) with $320M ETF inflows, per Cointelegraph. Ethereum at $4,580 (+0.33%), XRP at $3.13 (+0.64%), Solana at $206.20 (+0.24%). Qubit DeFi up 17.1%. Crypto derivatives at $12.0T. Equities recover, with S&P 500 (+0.24%), Nasdaq (+0.34%) after Broadcomโ€™s $10B OpenAI deal, Dow (+0.13%), per Reuters. Commodities steady, with gold ($3,405/oz, +0.15%) and Brent crude ($71.80/barrel, +0.14%) up, per WSJ Markets. Energy prices firm, with WTI crude at $68.60/barrel (+0.15%) and natural gas at $3.13/MMBtu (+0.32%). U.S. 10-year Treasury yields at 4.29%, tokenized bonds at $3.7B, per Bloomberg. Commercial real estate resilient, with office demand at 6.7% and tokenized assets at $4.1B, per J.P. Morgan. Indian markets resilient despite U.S. 50% tariffs. Chinaโ€™s $700B stimulus lifts CSI 300 by 3.4%. UK CPI at 3.8% YoY in July. Clean energy investments, like ร˜rstedโ€™s โ‚ฌ3.5B project, signal resilience. Geopolitical risks from Russia, Iran, Thailand, and Texas add volatility, per X posts. Subscribe to [patreon.com/berndpulch](https://www.patreon.com/berndpulch) for leaks. Explore Nacktes Geld podcast.

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Schlagwรถrter: Bitcoin Preis 2025, XRP ETF Gerรผchte 2025, Krypto-Regulierung 2025, Krypto-Derivate 2025, Qubit DeFi 2025, Goldpreis 2025, Silberpreis 2025, Palladiumpreis 2025, Brent-Rohรถlpreis 2025, WTI-Rohรถlpreis 2025, Erdgaspreis 2025, China Liquiditรคtsinjektion 2025, PBOC Stimulus 2025, globale Investitionsnachrichten 2025, Investitionen in saubere Energien, Projekte erneuerbare Energien, Gewerbeimmobilien 2025, Immobilienmarkt Trends 2025, Mumbai Wohnungsumsatz 2025, Mietmarkt Deutschland 2025, Luxusimmobilien Dubai, Aktienmarkt Updates 2025, CSI 300 September 2025, Sensex September 2025, Nifty September 2025, US-Aktienmarkt 2025, S&P 500 Trends 2025, Nvidia Gewinne 2025, Trump Zรถlle September 2025, EU Vergeltungszรถlle 2025, Indien USA Handelsabkommen 2025, Indische Rupie Kurs 2025, Chinesischer Yuan 2025, globaler Wirtschaftsausblick 2025, Federal Reserve Zinssรคtze 2025, IWF Wachstumsprognose 2025, Indien BIP-Wachstum 2025, Indien Einzelhandelsinflation 2025, BluPine Energy ESG Auszeichnung 2025, JSW Energy Batteriespeicher 2025, SJVN Wasserkraftprojekte 2025, Jindal India Greenfield Projekt 2025, Investment The Original Bernd Pulch, Finanzleaks 2025, Offshore-Steueroasen, Bankenkorruption aufgedeckt, TCS Q1 Ergebnisse 2025, Infosys Q1 Ergebnisse 2025, Reliance Industries Aktien 2025, HDB Financial IPO 2025, Singapur grรผne Gebรคude 2025, US-Hypothekenzinsen 2025, Investitionen saubere Energien IEA 2025, globale FDI-Trends 2025, Zollrisiken 2025, Nacktes Geld Podcast, ESG-Investitionen 2025, US-Kanada Handelsgesprรคche 2025, Brasilien Vergeltungszรถlle 2025, nachhaltige Finanztrends, Kupferzoll 2025, Pharma-Zรถlle 2025, globale Handelsspannungen 2025, Godrej Properties Aktien 2025, Reverse-Repo-Operationen 2025, Nvidia China Chip Exporte 2025, Krypto-Futures 2025, Ethereum Preis 2025, Solana Futures 2025, XRP Preis 2025, Solana Preis 2025, Nahost Versorgungsrisiken 2025, VINE Coin 2025, US-Indien ร–lhandel Spannungen 2025, US-Arbeitsmarktbericht 2025, US-Schatzanleihen Renditen 2025, tokenisierte Anleihen 2025, tokenisierte Immobilien 2025, Bitcoin ETF Zuflรผsse 2025, Trump Krypto 401k 2025, Halbleiterzรถlle 2025, China Auslandsinvestitionen 2025, XRP SEC Fall 2025, ChainLink Reserve 2025, Ripple Fall eingestellt 2025, KI-Datenzentren Nachfrage 2025, US CPI September 2025, Home Depot Aktien 2025, Target Aktien 2025, UK CPI Inflation 2025, Fed Powell Rede 2025, OYO IPO 2025, Russland Ukraine Konflikt 2025, Iran Sanktionen 2025, Thai PM Absetzung 2025, Texas Wahlkarte 2025, Ondo Finance tokenisierte Aktien 2025, US Bancorp Bitcoin Verwahrung 2025, Burberry FTSE 100 2025, Broadcom OpenAI Deal 2025, US Arbeitsmarktbericht September 2025

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INVESTMENT THE ORIGINAL DIGEST SEPTEMBER 9, 2025โœŒINVESTMENT DAS ORIGINALย  REPORT 9. SEPTEMBER 2025โœŒFOUNDED IN 2000 ANNO DOMINI

### Investment Digest: Crypto Holds Steady, Equities Mixed, Commodities Rise, Bonds Stable, and Commercial Real Estate Resilient Amid Tariff Uncertainty and Geopolitical Tensions โ€“ September 8, 2025

#### Key Points
– **Crypto Holds Steady**: Bitcoin at $111,600 (+0.09% from $111,500) remains above $110,000 with $300M ETF inflows. Ethereum at $4,565 (+0.11% from $4,560), XRP at $3.11 (+0.32% from $3.10), Solana at $205.70 (+0.10% from $205.50). Qubit DeFi up 16.8% in TVL, VINE token up 1.3%. Posts on X reflect cautious optimism for Bitcoin and XRP.
– **Derivatives Volume Stable**: Crypto derivatives at $11.9T, Solana futures up 6.8%, XRP futures at $4.3B open interest. Mastercardโ€™s stablecoin deal continues to boost XRP sentiment.
– **Equities Mixed**: S&P 500 at 6,365 (-0.08% from 6,370), Nasdaq at 20,880 (+0.05% from 20,870) driven by tech gains, Dow at 44,390 (-0.02% from 44,400). CSI 300 up 3.3% on Chinaโ€™s stimulus. Sensex at 82,900 (+0.06% from 82,850), Nifty at 25,240 (+0.08% from 25,220). Weak U.S. jobs report (22,000 jobs added vs. 150,000 expected) weighs on sentiment, per Edward Jones.[](https://www.edwardjones.com/us-en/market-news-insights/stock-market-news/stock-market-weekly-update)
– **Commodities Rise**: Gold at $3,400/oz (+0.15% from $3,395) on Fed rate cut expectations, silver at $38.50/oz (+0.13% from $38.45), palladium up 0.5%. Brent crude at $71.70/barrel (+0.14% from $71.60), WTI crude at $68.50/barrel (+0.15% from $68.40), natural gas at $3.12/MMBtu (+0.32% from $3.11) amid OPEC+ output talks, per WSJ Markets.
– **Bonds Stable**: U.S. 10-year Treasury yields at 4.28% (-0.05% from 4.30%) post-jobs data. Tokenized bonds at $3.6B, led by BlackRockโ€™s BUIDL. Municipal bond yields at 4.13%, high-yield inflows at $240M.
– **Commercial Real Estate Resilient**: U.S. property prices up 5.2% year-on-year, office occupancy at 6.6% in Q2 2025. Tokenized real estate at $4.0B, driven by Ethereum/Polymath platforms.
– **Chinaโ€™s Stimulus Sustains**: PBOCโ€™s $700B injection lifts CSI 300 (+3.3%). Chinaโ€™s $150B telecom/biotech plan grows.
– **Indian Markets Resilient**: Sensex at 82,900 (+0.06%), Nifty at 25,240 (+0.08%) despite U.S. 50% tariffs. Indian rupee at โ‚น88.20.
– **Trade Tensions Escalate**: Trumpโ€™s 50% tariffs on India, 100% on semiconductors, 30% on EU/Mexico/Brazil fuel volatility. EUโ€™s $84B retaliatory plan progresses. U.S.-India oil trade tensions continue, per X posts.
– **UK Inflation Steady**: UK CPI at 3.8% YoY in July, per X posts.
– **Geopolitical Risks Persist**: Russiaโ€™s Kyiv drone attack intensifies, Iran sanctions talks stall, Thai PM dismissal unresolved, Texas voting map redraw fuels debate, per X posts.

Courtesy of *Investment The Original* by Bernd Pulch, exposing elite tax havens and banking corruption. Subscribe for exclusive leaks at [patreon.com/berndpulch](https://www.patreon.com/berndpulch).

INVESTMENT – THE ORIGINAL
**”Bitcoin holds at $111,600, equities mixed, commodities rise. Uncover financial secrets with Bernd Pulchโ€™s leaks. [SUBSCRIBE NOW] โžก๏ธ patreon.com/berndpulch #CryptoMarkets #MarketTrends2025″**

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Global Markets: Crypto, Derivatives, Equities, Commodities, Bonds, and Real Estate

Bitcoin holds steady at $111,600 (+0.09%) with $300M ETF inflows. Ethereum at $4,565 (+0.11%), XRP at $3.11 (+0.32%), Solana at $205.70 (+0.10%). Qubit DeFi up 16.8%. Crypto derivatives at $11.9T. Equities mixed, with S&P 500 (-0.08%), Nasdaq (+0.05%), Dow (-0.02%) after weak U.S. jobs data. Commodities rise, with gold ($3,400/oz, +0.15%) and Brent crude ($71.70/barrel, +0.14%) up. Energy prices stable, with WTI crude at $68.50/barrel (+0.15%) and natural gas at $3.12/MMBtu (+0.32%). U.S. 10-year Treasury yields at 4.28%, tokenized bonds at $3.6B. Commercial real estate resilient, with office demand at 6.6% and tokenized assets at $4.0B. Chinaโ€™s $700B stimulus lifts CSI 300 (+3.3%). Indian markets resilient despite tariffs. Explore more in the podcast Nacktes Geld.

What is “Investment The Original”?

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#### Investment Highlights
Bitcoin at $111,600 (+0.09%) with $300M ETF inflows. Ethereum at $4,565 (+0.11%) with $480M ETF inflows. XRP at $3.11 (+0.32%), Solana at $205.70 (+0.10%). Qubit DeFi up 16.8% with $2.9B TVL. JSW Energy progresses 2,400 MW solar-wind deal. SJVN advances 3,000 MW hydro project. Petronas invests $4.6B in Indonesian LNG. ร˜rstedโ€™s โ‚ฌ3.5B German offshore wind project grows. U.S. 10-year Treasury yields at 4.28%. Commercial real estate resilient, with tokenized assets at $4.0B. OYOโ€™s $7-8B IPO set for November. Ondo Financeโ€™s tokenized U.S. stocks/ETFs gain traction on Ethereum. US Bancorpโ€™s Bitcoin custody relaunch with NYDIG advances, per Cointelegraph.

#### Property Market Updates
Mumbaiโ€™s housing sales at 2,06,000 units in H1 2025. Germanyโ€™s rents up 11.7% in Q2 2025, Berlin at 13.8%. U.S. home prices up 4.8% year-on-year, mortgage rates at 6.03%, per AP. Dubaiโ€™s luxury market grows 49% pre-Expo 2025, with Bitcoin options trading expanding. Canberraโ€™s rents rise 15.2%. Singaporeโ€™s green buildings attract $5.8B. U.S. commercial property prices up 5.2%, office demand at 6.6% in Q2 2025. Tokenized real estate at $4.0B via Ethereum/Polymath. HDB Financial IPO progresses. Nomura holds reduce rating on Godrej Properties at โ‚น2,080.

#### Commercial Real Estate Trends
U.S. commercial real estate resilient, with office occupancy at 6.6% in Q2 2025, driven by AI data center demand, per J.P. Morgan. Industrial properties up 8.1% in value, e-commerce fueling growth. Retail vacancy rates at 4.5%. Tokenized real estate at $4.0B, with platforms like Polymath and Ethereum enabling crypto deals. Christieโ€™s crypto-backed property transactions grow. High interest rates (6.03% for commercial mortgages) pressure valuations, but green-certified buildings see 10.5% demand growth. New York and San Francisco premium office rents up 6.2%. A $460M Florida office bond remains stable. Demand for industrial space softens, per CNBC.[](https://privatebank.jpmorgan.com/nam/en/insights/markets-and-investing/ideas-and-insights/alternative-investments-in-2025-our-top-five-themes-to-watch)

#### Stock Market Trends
Indian markets resilient, with Sensex at 82,900 (+0.06%) and Nifty at 25,240 (+0.08%). U.S. markets mixed, with S&P 500 at 6,365 (-0.08%), Nasdaq at 20,880 (+0.05%) after tech gains, Dow at 44,390 (-0.02%) post-weak jobs data, per Edward Jones. CSI 300 gains 3.3%. Gold at $3,400/oz (+0.15%) on Fed rate cut expectations, per WSJ Markets. Silver at $38.50/oz (+0.13%), Brent crude at $71.70/barrel (+0.14%). Indian rupee at โ‚น88.20. U.S. 10-year Treasury yields at 4.28%, high-yield bond inflows at $240M. Burberry holds FTSE 100 position, per CNBC.[](https://www.edwardjones.com/us-en/market-news-insights/stock-market-news/stock-market-weekly-update)

#### Crypto and Derivatives Trends
Bitcoin at $111,600 (+0.09%) with $300M ETF inflows, per QCP Capital. Ethereum at $4,565 (+0.11%) with $480M ETF inflows. XRP at $3.11 (+0.32%) holds $4.3B futures open interest post-Mastercard deal. Solana at $205.70 (+0.10%), futures volume up 6.8%. Qubit DeFi up 16.8% with $2.9B TVL. VINE token up 1.3%. Crypto derivatives volume at $11.9T. Dubai expands Bitcoin options trading. US Bancorpโ€™s Bitcoin custody relaunch with NYDIG gains traction, per Cointelegraph. Posts on X show bullish sentiment for XRP and Solana.

#### Commodities and Energy Trends
Gold at $3,400/oz (+0.15%) on Fed rate cut expectations, silver at $38.50/oz (+0.13%), palladium up 0.5%. Brent crude at $71.70/barrel (+0.14%), WTI crude at $68.50/barrel (+0.15%), natural gas at $3.12/MMBtu (+0.32%) with stable Middle East supply and OPEC+ output talks, per WSJ Markets. Copper inventories tight, per X posts. Tether explores USDT/Monero integration in $1B agribusiness deal.

#### Bonds Market Trends
U.S. 10-year Treasury yields at 4.28% (-0.05%) post-weak jobs data (22,000 jobs added vs. 150,000 expected), per Edward Jones. High-yield bond inflows at $240M. Tokenized bonds at $3.6B on Ethereum/Polygon, led by BlackRockโ€™s BUIDL. Municipal bonds yield 4.13%, infrastructure demand steady. Posts on X highlight tariff-driven inflation risks impacting yields.[](https://www.edwardjones.com/us-en/market-news-insights/stock-market-news/stock-market-weekly-update)

#### Economic Outlook
China targets 4.3% growth with $700B stimulus, constrained by property weakness. Indiaโ€™s Q4 FY25 GDP at 7.2%, FY26 forecast at 6.2%. U.S. Fed holds rates at 4.25%โ€“4.5%, September cut odds at 85% post-Powellโ€™s Jackson Hole speech and weak jobs data, per Edward Jones. Trumpโ€™s 50% tariffs on India, 100% on semiconductors, 30% on EU/Mexico/Brazil escalate tensions. EUโ€™s $84B retaliatory plan advances. U.S.-India oil trade tensions intensify over Russia ties. UK CPI at 3.8% YoY in July. U.S. Dollar Index at 100.5, euro at $1.157 (+0.09%). Geopolitical risks from Russiaโ€™s Kyiv attack, stalled Iran sanctions talks, Thai PM dismissal, and Texas voting map redraw add volatility, per X posts.[](https://www.edwardjones.com/us-en/market-news-insights/stock-market-news/stock-market-weekly-update)

#### Comprehensive Analysis
This *Investment Digest* for September 8, 2025, powered by *Investment The Original* by Bernd Pulch, compiles global investment news as of 4:54 PM CEST. Bitcoin holds steady at $111,600 (+0.09%) with $300M ETF inflows. Ethereum at $4,565 (+0.11%), XRP at $3.11 (+0.32%), Solana at $205.70 (+0.10%). Qubit DeFi up 16.8%. Crypto derivatives at $11.9T. Equities mixed, with S&P 500 (-0.08%), Nasdaq (+0.05%) after tech gains, Dow (-0.02%) post-weak jobs data. Commodities rise, with gold ($3,400/oz, +0.15%) and Brent crude ($71.70/barrel, +0.14%) up. Energy prices stable, with WTI crude at $68.50/barrel (+0.15%) and natural gas at $3.12/MMBtu (+0.32%). U.S. 10-year Treasury yields at 4.28%, tokenized bonds at $3.6B. Commercial real estate resilient, with office demand at 6.6% and tokenized assets at $4.0B. Indian markets resilient despite U.S. 50% tariffs. Chinaโ€™s $700B stimulus lifts CSI 300 by 3.3%. UK CPI at 3.8% YoY in July. Clean energy investments, like ร˜rstedโ€™s โ‚ฌ3.5B project, signal resilience. Geopolitical risks from Russia, Iran, Thailand, and Texas add volatility, per X posts. Subscribe to [patreon.com/berndpulch](https://www.patreon.com/berndpulch) for leaks. Explore Nacktes Geld podcast.

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