Morning report - Monday, July 6, 2026

Sources and risk first, decision later

The morning report uses a latest market reading from 09:39 Polish time. BTC is around USD 62,939, ETH around USD 1,770.96, USD/PLN is 3.7428, and EUR/PLN is 4.2848. Indices and bonds need session confirmation; the market data source mainly provides crypto and FX here. Conclusion: start the day with scenarios and an error limit.

Day mode Observation Live data is a starting point, not a recommendation
Conclusion confidence 60% Crypto and FX have sources; indices need confirmation
Move risk 48/100 The main risk is deciding without an exit plan
Next test today around 4:00 PM We check whether the market confirms the scenario
TL;DR

Key conclusions

  1. Crypto is the first sentiment radar. BTC is around USD 62,939, while ETH is around USD 1,770.96. This gives a reference point, but crypto price alone is not enough without dollar, liquidity and index context.
  2. FX is shown only with a source date. USD/PLN is 3.7428, and EUR/PLN is 4.2848. The FX reading comes from Frankfurter.app / ECB, so the report separates fresh quotes from market status.
  3. The plan matters more than one impulse. If the market confirms the scenario, selective search makes sense. If the dollar, yields or technology worsen the picture, capital protection comes first.
Crypto

BTC and ETH as radar

BTC around USD 62,939, ETH around USD 1,770.96. This is a starting point, not a stand-alone recommendation.

FX

FX with source date

USD/PLN 3.7428, EUR/PLN 4.2848. The report does not pretend freshness where the source does not provide it.

Discipline

Plan before decision

Scenario and maximum loss first, possible action only later.

Day verdict

Observation

This is an educational and observational report. Current data helps set scenarios, but every decision still needs an error limit, position size and invalidation condition.

What to do

  • Check whether the quote has a source and a fresh timestamp.
  • Write down the condition that confirms the risk-on scenario.
  • Calculate maximum loss before entering any position.

What to avoid

  • Do not treat one candle as a full market signal.
  • Do not increase risk just because the report shows a live move.
  • Do not ignore the dollar, yields and portfolio concentration.
Decision checklist

Before you click buy/sell

  • Source Does the quote come from sources danych rynkowych or have a clearly described date?
  • Scenario What has to happen for the idea to still make sense?
  • Error Which level or condition says you should step away?
  • Position Is the loss calculated before the decision?
Capital plan

How to protect the portfolio

  • Loss first Potential profit does not matter without an error limit.
  • Less correlation Several positions depending on the same dollar move are one large risk.
  • Cash is a tool No trade is an acceptable report outcome.
Observation levels

Not a forecast, only conditions

  • BTC Holding direction after liquidity returns improves signal quality.
  • ETH ETH should confirm BTC, not just passively follow.
  • USD/PLN A dollar rebound warns against weaker risk appetite.
  • Nasdaq Technology must confirm strength, especially in AI-heavy portfolios.
What changes the view

When observation turns defensive

If crypto gives back the move, the dollar rebounds and technology indices are under pressure, the selective scenario loses value and capital protection returns.

Scenarios

Three paths into the next session

Defensive

Crypto gives back the move, the dollar rebounds and indices do not confirm risk appetite.

Do not add risk. Protect cash and wait for a fuller signal.

Neutral

Crypto is stable, but the dollar and indices do not give clear confirmation.

Work from the watchlist. Decisions only small and with a ready error limit.

Selective

Crypto, the dollar and indices jointly confirm calm risk appetite.

Individual opportunities can be considered, but without chasing price or adding too much correlation.

Risks

What can break the plan

high

False confirmation

A crypto move may look good, but without confirmation from the dollar and indices it is easy to overrate its quality.

medium

Dollar rebound

A stronger dollar usually makes a calm risk-asset move harder.

medium

Technology concentration

A portfolio based on one narrative, such as AI, needs separate risk control.

Calendar

What can move the market

  • US open Shows whether equities confirm the signal from crypto and FX.
  • Dollar and yields They can quickly change risk appetite.
  • Technology and AI Portfolio concentration increases sensitivity to rotation.
  • Macro data Any strong reading can change rates and dollar pricing.

Sources and context

  • Source danych rynkowych Public endpoint with reading 2026-07-06T07:39:12+00:00.
  • CoinGecko BTC around USD 62,939, ETH around USD 1,770.96 and 24h crypto changes.
  • Frankfurter.app / ECB USD/PLN 3.7428 and EUR/PLN 4.2848 with FX source date.
  • Market data source Indices and bonds need session confirmation; the market data source mainly provides crypto and FX here.
After this report

Stay in the daily loop

Read the newest scenario, check the MP4 brief and come back around 4:00 PM for the market update.