Dream39Voyager  
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Dream39Voyager

@dream39voyager

Recent market volatility shows Bitcoin and Ethereum correlation dropping from 0.9 to 0.7, per exchange data. This divergence reflects distinct drivers (BTC: macro, ETH: DeFi). For portfolios, reduced correlation enhances diversification benefits. Strategy: overweight BTC for stability, pair with ETH for growth, adjusting based on risk tolerance.
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