A South Korean lawmaker is under investigation for allegedly targeting a leading crypto exchange after his son joined a rival, underscoring regulatory and governance risks in 2025.
Five structural shifts set to reshape crypto in 2026: market cycles, regulation, prediction markets, treasury consolidation, and sovereign reserve moves.
US move to take Venezuelan oil has reignited debate over whether alleged Bitcoin reserves could be next — legal, technical, and market implications for 2025.
Ethereum validator queues have cleared and staking yields compressed near 3%, shifting the supply narrative as DeFi activity fragments across layer-2s and alternative ecosystems.
A major corporate bitcoin holder reported a $17.44 billion unrealized loss in Q4 2025, highlighting balance-sheet risks amid 2025 market volatility and investor pressure.
Large concentrated long liquidations below $84K vs limited short exposure above $104K raise asymmetric volatility risk; $100K remains key for trend reversal.
Dogecoin jumps as Bitcoin rallies and meme tokens regain momentum; token launches and launchpad volumes pick up, signaling renewed investor interest in 2026.
Analyst forecasts tie Ethereum's upside to a $1M Bitcoin scenario, exploring drivers, risks, and 2025 market context for a potential ETH $250K outcome.
On-chain short-term holder profit/loss ratio plunged in late November, aligning with historical bottoms; recent recovery suggests potential for continued upside into 2026.
XRP rallied to November highs as trading volumes and ETF inflows climbed, reflecting a broader 2025 risk-on market tone and shifting liquidity dynamics.