Institutional investors rely more on macroeconomic and on-chain analytics, while retail often reacts to price and news. Institutions’ methodical approach smooths volatility, but retail-driven surges increase unpredictability, creating push-pull effects on overall market behavior.
- 0 replies
- 0 recasts
- 0 reactions
Bitcoin reserve companies will likely grow in influence in late 2025, institutionalizing crypto portfolios. Their strategic holdings could stabilize markets but also amplify systemic risk.
- 0 replies
- 0 recasts
- 0 reactions
Crypto-gold correlation recently weakened as Bitcoin gained unique macro narrative traction; oil remains less correlated.
- 0 replies
- 0 recasts
- 0 reactions