Summary
In this Canary Capital webinar, Steven McClurg and Josh Olszewicz examine the macro shifts and crypto inflection points that could shape markets through Q4 2025 and into 2026. With rate cuts approaching, inflation proving sticky, and gold reaching new highs, the discussion explores how monetary policy pivots and market stress are converging across global asset classes.
From Bitcoin’s late-cycle behavior to potential altcoin rotation, and from stagflation risks to the durability of the broader crypto cycle, this session provides a high-level framework for understanding what may define the next phase of the market.
Key Topics
- Rate Expectations & the Cutting Cycle
What central banks are signaling and how markets are adjusting - Stagflation Watch
The risk of slowing growth alongside persistent inflation in late 2025 - Gold’s Resurgence
What renewed strength in gold suggests about confidence in policy and fiat stability - Bitcoin’s Cycle Stage
Whether the current rally has peaked and what may come next - Altcoin Rotation Outlook
Which areas of the market could outperform into early 2026 - Cycle Continuation into 2026
Historical parallels and how this cycle may differ from prior ones













