Gold has reached a record all-time high, sparking major shifts in financial markets and leading to sharp corrections in Bitcoin and other cryptocurrencies. This article explores how economic uncertainty, central bank policies, and investor psychology are driving a renewed flight to safe-haven assets like gold, while outlining the potential for capital to return to riskier assets such as crypto if macroeconomic conditions improve. Discover key trends, the impact of Fed rate decisions, and strategies for balancing risk and reward in a volatile investment environment