US labor and income trends heading into 2026 may reduce retail crypto capital, shifting market dynamics toward macro-driven liquidity and amplifying altcoin vulnerability.
American Bitcoin Corp raised its holdings to 5,098 BTC (~$450M), highlighting continued on-chain accumulation and 2025 market dynamics shaping institutional treasuries.
MicroStrategy purchased $980M of Bitcoin but reported a negative BTC-per-share metric as equity raises and cash reserves weigh on investor valuations in 2025.
Dogecoin's slide under $0.13 and heavy-volume selloff signal a short-term structural shift. Key levels, volume behavior and 2025 macro trends shape the near-term outlook.
Bitcoin's underperformance in Q4 could trigger year-end rebalancing flows and a January pickup. Market indicators show cautious positioning into 2025's macro and regulatory backdrop.
Analyst warns of a 10–15% equity pullback in early 2026 but anticipates a later recovery and continued crypto adoption amid 2025 market developments.
Analysts warn of deep downside risk for bitcoin and crypto amid shifting Fed policy and 2025 market dynamics. Key scenarios, implications and risk management guidance.
Bitcoin bounced above $87K after a sharp sell-off, but analysts warn markets remain fragile. Macro data and derivatives liquidations could push BTC below $80K.
A prominent asset manager added roughly $59M to crypto-related equities amid a sector sell-off, highlighting a continued "buy the dip" strategy and 2025 market dynamics.
SWIFT's move toward a shared, real-time ledger signals institutional convergence on instant settlement and liquidity efficiency amid 2025 market shifts.