IMF COFER Q2 2025 shows most reserve-share shifts were valuation effects, weakening near-term dedollarization claims and offering clearer signals for crypto investors.
Reports of internal disputes and unverified allegations around Bitmain founders raise questions about mining governance, supply chains, and market risks in 2025.
A major San Francisco outage in 2025 exposed how cryptocurrency access depends on electricity and connectivity despite resilient blockchains and improved exchange redundancies.
Traders and analysts in 2025 viewed the Santa Rally as a key gauge of risk appetite heading into 2026 — here’s what the data and macro backdrop imply.
Historical data shows Bitcoin often posts strong January gains; traders should consider year-end flows, 2025 price action and seasonality when planning exits.
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Ethereum core developers have named the post‑Glamsterdam upgrade “Hegota,” shaping the 2026 roadmap as the network continues a twice‑annual upgrade cadence.
A detailed look at Ethereum's planned "Glamsterdam" upgrade, its technical components (ePBS, block-level access lists), market implications, and 2025 context.
A 2025 market-focused comparison of Bitcoin and Dogecoin for long-term investors, covering supply dynamics, adoption, risks, and portfolio roles.
Institutional signals, falling volatility and macro risks make Bitcoin’s 2026 outlook unusually uncertain, even as adoption and long-term bullish cases remain intact.