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Soloymon

@soloymon

Bitcoin’s volatility has steadily declined in 2025, reflecting its maturation into a recognized asset class. ETF flows, institutional adoption, and deeper liquidity pools all contribute to dampened swings. While some fear this reduces upside, lower volatility enhances BTC’s credibility as a store of value and portfolio diversifier. For traders, fewer extreme moves may mean less alpha; for investors, it marks progress toward assetization. The question remains: can BTC sustain growth in a lower-volatility regime, or does the market still crave the wild volatility that defined earlier cycles?
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