$BTC SHOCKING: Bitcoin Is Losing the Race — Even Gold Is Beating It 🚨
Bitcoin’s long-term performance is raising uncomfortable questions. Since early 2021, BTC is up just 73%, significantly underperforming traditional assets many thought it would replace. Gold has surged 164%, the Nasdaq 100 gained 82%, and even the S&P 500 climbed 75%, quietly edging past Bitcoin.
The short-term picture looks even worse. Bitcoin is now nearly down 30% year-to-date, dragging sentiment lower as investors reassess the “digital gold” narrative. What was once marketed as an inflation hedge and tech-alternative is now lagging both.
This divergence is fueling a growing debate: is Bitcoin simply in a brutal cycle… or is capital rotating away toward safer and more productive assets?
Is this a generational buying opportunity — or a warning sign the market can’t ignore?
$ETH just hit bottom as a higher low compared to April 2025.
When the lowest point came up in April, it was coupled with the highest bearish volume candle in years. When the lowest point came up in February 2026, it is coupled with the highest bearish volume since April 2025. $1385 vs $1750.
On this chart you can also see a classic ABC correction. The final leg, the C wave, is extremely steep. Such a strong move cannot last that long. It lasted a long while but it looks like it already ran its course.
This bearish move is ending as a higher low.
This might not be the end of the bear market of course, we have some reckoning to do later in 2026. But now, the entire Cryptocurrency market is about to turn big green.
Since you were with me through all the ups and down, I just wanted to be the first to let you know.
$BTC Officially Enters Downtrend, The 4-Year Cycle Is Repeating After the $126K Peak
- In my opinion, the 4-year cycle of $BTC will still repeat, and at this point we already have confirmation of the Downtrend
- Bitcoin’s 4-year cycle is based on the Halving event, Halving reduces the new supply of Bitcoin, creating scarcity
- And history shows that after each Bitcoin Halving, Bitcoin usually surges strongly within 1 to 1.5 years afterward and reaches a peak, then continues with a strong correction in the following year => downtrend
- 2024 Bitcoin Halving => 2025 Bitcoin reached peak at 126k $ and 2026 history seems to be repeating as BTC has broken out of the previous uptrend and is declining quite strongly
- Many people before and now believe that BTC’s 4-year cycle no longer exists because of ETF, but in my view the 4-year cycle will still repeat, the only thing that might be different is that it may not drop massively as sharply as in previous cycles
- In summary, in my opinion the downtrend has been confirmed in this year 2026, something I had predicted back at the end of 2025
- So at this moment we need to be careful and should not chase buys during temporary recoveries, the price can still drop much deeper this year before accumulating for the new cycle
Gold🥇surged over 2% on Wednesday, continuing its rally as renewed US-Iran tensions boosted demand for safe-haven assets. The precious metal recorded its strongest daily gain since 2008 in the previous session. $ZKP $OG
$BTC is holding above the trendline, trading just around 79,000$.
So the question is — are we going for another drop?
Technically, the structure looks good. I’ve been waiting for this setup since morning. What I want to see now is a clean close above the trendline, followed by a retest. If this candle gets a strong close above 79,500 or that range, then we can expect the next daily candle to push toward 84,000 by tomorrow.
Why am I confident about this move?
First, the technical structure is solid. Second, we’re getting positive responses from the macro side:
•Trump easing tariff pressure
•Russia proposing investment opportunities
•Trump calling himself a “big crypto person”
•Abu Dhabi investing $500M in the World Liberty crypto project
•Big players continue accumulating and buying crypto
•Strategy BTC purchases ongoing
And there’s more — overall sentiment is turning positive for the market. That’s why I’m calling to fill your bags, but pro tip: buy in partials, not all at once.
$BTC is holding above the trendline, trading just around 79,000$.
So the question is — are we going for another drop?
Technically, the structure looks good. I’ve been waiting for this setup since morning. What I want to see now is a clean close above the trendline, followed by a retest. If this candle gets a strong close above 79,500 or that range, then we can expect the next daily candle to push toward 84,000 by tomorrow.
Why am I confident about this move?
First, the technical structure is solid. Second, we’re getting positive responses from the macro side:
•Trump easing tariff pressure
•Russia proposing investment opportunities
•Trump calling himself a “big crypto person”
•Abu Dhabi investing $500M in the World Liberty crypto project
•Big players continue accumulating and buying crypto
🚨 DO NOT BUY A HOUSE THIS YEAR — UNLESS YOU’RE ALREADY RICH
If you’re not a billionaire, rent. Yes, rent. Buying a house right now is how average people lock themselves into permanent financial mediocrity. If you want to buy your first home, wait for a 2008-style housing crash. I’ve seen every cycle — the 2008 collapse, the 2020 blow-off top, and everything in between. Look at the chart. The last housing bubble peaked around 266 in 2006. If you think today’s market is “stable,” you’re not early — you’re late and in denial. This market isn’t healthy. It’s frozen.
WHY BUYING IN 2026 IS A TRAP Redfin data shows 36.8% more sellers than buyers. Demand is at its weakest level since the 2020 lockdowns. That’s not a pullback. $BTC $ETH
Președintele Trump va anunța alegerea șefului Fed vineri
Președintele Trump spune că alegerea lui pentru șeful Fed se reduce la Kevin Warsh sau Rick Rieder de la BlackRock, excluzându-l pe Kevin Hassett. $EDU
Ethereum experienced a strong bullish impulse, followed by a small correction.
This structure looks like a classic bullish reversal pattern, and ETH is likely to resume the bullish trend again.
Price has now broken above the pattern, which is an important bullish signal. As long as ETH holds above this breakout area, the probability increases for a continuation to the upside.
The first upside target is the 3,160 area, which previously acted as a key structure zone. If bullish momentum continues, ETH could extend higher toward the 3,350 level, where strong resistance is expected.
Key Levels: 3,160 3,350
You may find more details in the chart. Thank you and good luck! 🍀
❤️ If this analysis helps your trading day, please support it with a like or comment ❤️
Reports say Trump is considering two extreme options against Iran. One is starting a tanker war, including a naval blockade to choke Iran’s oil exports. The second option is even more explosive — directly targeting Iran’s top leadership. Both paths carry massive risks.
Experts warn that either decision could ignite a full-scale war. A blockade could shock global oil markets and pull multiple countries into conflict. Targeting leaders could trigger immediate retaliation on U.S. bases and allies across the Middle East.
This is why fear is spreading fast. When power, pressure, and pride collide, one move can push the world toward chaos. Right now, all eyes are on Trump — because this choice could change global history ⚡🌍 $AXS $ACU
2013: • Duration: 9 months • Bull Run kicked off after bear trap in month 6
2017: • Duration: 9 months • Bull Run kicked off after bear trap in month 6
2021: • Duration: 9 months • Bull Run kicked off after bear trap in month 6
2026: We’re now in month 6… 🔥
Everything lines up. Historically, month 6 is the ignition point after consolidation and bear shakeouts. If history repeats, buckle up — the next BTC leg could be explosive. Click Here And Buy NOW 👇 $BTC
The U.S. dollar has entered a dangerous phase, and this time the signals are no longer subtle. What we’re seeing now is not just a short-term pullback driven by speculative flows. It’s a convergence of policy uncertainty, global coordination rumors, and rising institutional stress that is forcing even the most conservative players to prepare for scenarios that were once considered unthinkable. Following the latest Federal Reserve rate checks, the dollar has started to slide sharply, especially against the Japanese yen. At the same time, rumors of yen intervention have intensified. USD/JPY breaking lower is not just a currency move, it’s a pressure release point for the entire global financial system. When the dollar weakens rapidly against the yen, it signals tightening stress across funding markets, carry trades, and international liquidity channels. #FedWatch #VIRBNB
$BTC Dollar Cracks Are Spreading — Is a Global Exit Already Starting?
The U.S. dollar is sliding fast, and the timing is no coincidence. As Fed rate checks resurface and rumors of Yen intervention heat up, USD selling has accelerated across markets. But here’s the real bombshell: the IMF has confirmed it is now stress testing scenarios involving a rapid sell-off of U.S. dollar assets.
IMF chief Kristalina Georgieva openly admitted they are modeling even “unthinkable” outcomes — including a sudden loss of trust in the dollar itself. That’s a major shift. The dollar is no longer assumed to be untouchable; it’s now officially a global risk variable.
History matters here. Before 1985, similar signals, whispers, and policy checks appeared before coordinated action — and the dollar weakened early. The pattern is forming again, and asset holders may be positioning ahead of the crowd.
Is this the beginning of a structural dollar reset? Watch closely — this move could redefine global markets.
This is another powerful chart setup. Good for PEPEUSDT is the fact that the action is already confirmed bullish. There was a strong bullish breakout, with high volume, very recently, and the retrace is ending yesterday with a higher low.
Nothing more needs to be said. A higher low will lead to a higher high and this opens up an opportunity for us to trade.
🚨 ALERT: Trump Considers 100% Tariffs & Asset Freezes on Arab Nations Over Iran $RIVER $BTR $ACU
Reports suggest President Trump may hit Arab countries with 100% tariffs and freeze their assets if they oppose potential US–Israel military strikes on Iran. This comes even as the UAE and Jordan are expected to support the US, showing a split in the region.
Countries like Saudi Arabia, Qatar, Türkiye, and Pakistan have publicly opposed any strikes, warning that military action could destabilize the Middle East further. Analysts say this move would mark a historic escalation, mixing economics with military pressure to enforce compliance — a bold, high-stakes strategy by the US.
If implemented, global markets and regional alliances could shift dramatically, with trade disruptions, soaring oil prices, and new tensions in an already fragile region. The world is watching closely — one misstep could trigger serious consequences. 🌍⚠️
Crypto can open real financial opportunities — but it can also wipe out your capital in days if you step in unprepared. Many newcomers only learn this after paying a painfully expensive tuition fee to the market. Before you put your first dollar into crypto, take a few minutes to absorb the lessons below. They won’t make you rich overnight, but they might save you from mistakes that push most beginners out of the game far too early. $BTC $ETH $BNB #USIranStandoff #StrategyBTCPurchase #FedWatch #TSLALinkedPerpsOnBinance
🚨 $LUNC ACTUALIZARE JUDICIARĂ — CITIȚI ACEASTA ÎNAINTE SĂ TRADAȚI! Titluri mari, dar să separăm FAPTUL de HYPE 👀 ⚖️ Audierile falimentului Terraform Labs (26 ian) au fost ANULATE Dar iată ce s-a întâmplat cu ADEVĂRAT 👇 ✅ Tribunalul a EXTINS perioada de lichidare până la 📅 31 dec 2026 ❌ Fără reluare ❌ Fără revigorare ❌ Fără plan de salvare ❌ Fără control înapoi la TFL 🧾 Verificare a realității: Terraform Labs este încă în modul DOAR LICHIDARE Fără activitate comercială Fără putere de guvernanță Numai gestionarea cazurilor legale cu SEC 🔍 IMPORTANT PENTRU DEȚINĂTORII DE LUNC: 🌐 Rețeaua Terra este 100% GESTIONATĂ DE COMUNITATE 🚫 TFL are ZERO influență asupra deciziilor 📊 Orice creștere = sentiment + speculație, nu fundamente 📉 VERDICT FINAL: Zgomot redus. Fundamente neschimbate. Tranzacționarii inteligenți rămân calmi — nu emoționali 🧠 ⚠️ Educație doar | Nu sfaturi financiare #LUNC #TerraLuna #AltcoinAlert #BinanceSquare #DYOR
🚨 AVERTISMENT: O MARE FURTUNĂ SE ÎNTOARCE!!! 99% DINTRE OAMENI VOR PIERDE TOT ÎN 2026, Nu este bait de furie sau clickbait, ascultă..
Ceea ce suntem martori în acest moment nu este zgomot, nu este clickbait și nu este volatilitate pe termen scurt. Aceasta este o schimbare macroeconomică care se construiește lent și care istoric precede evenimente majore de repricing pe piață.
Datele sunt subtile, semnalele sunt liniștite și tocmai acesta este motivul pentru care majoritatea oamenilor le scapă.
Mai jos este o analiză clară, pe termen lung și profesională a ceea ce se desfășoară — pas cu pas.
➤ STRUCTURA DATORIEI GLOBALE ESTE SUB PRESIUNE MARE Datoria națională a SUA nu este doar la un nivel maxim istoric — este structurabil nesustenabil la ratele actuale de creștere. Datoria se extinde mai repede decât PIB-ul, în timp ce cheltuielile cu dobânzile devin una dintre cele mai mari linii bugetare. Aceasta forțează emiterea continuă de datorie pur și simplu pentru a face față obligațiilor existente.
→ Aceasta nu este un ciclu de creștere. → Aceasta este un ciclu de refinanțare.
➤ ACȚIUNILE DE LIQUIDITATE ALE FED SEMNALEAZĂ STRES, NU FORȚĂ 🏦 Expansiunea recentă a bilanțului este interpretată greșit de mulți ca o politică de susținere. În realitate, lichiditatea este injectată deoarece condițiile de finanțare s-au strâns și băncile au avut nevoie de acces la numerar.
• Facilitățile repo văd o utilizare crescută • Facilitățile permanente sunt accesate mai frecvent • Lichiditatea curge pentru a menține stabilitatea, nu pentru a alimenta expansiunea
Când băncile centrale acționează în liniște, este rar de bun augur.
➤ CALITATEA GARANȚIEI ARATĂ SEMNE DE DETERIORARE O creștere a titlurilor de valoare garantate cu ipoteci în raport cu titlurile de stat semnalează o schimbare în compoziția garanției. Acest lucru se întâmplă de obicei în perioadele de stres financiar când sensibilitatea la risc crește.
→ Sistemele sănătoase preferă garanții de înaltă calitate → Sistemele stresate acceptă ceea ce este disponibil
➤ PRESIUNEA LIQUIDITĂȚII GLOBALE ESTE SINCRONIZATĂ 🌍 Aceasta nu este o problemă a unei singure țări.
• Rezerva Federală gestionează stresul de finanțare intern • PBoC injectează lichiditate pe scară largă pentru a-și stabiliza sistemul
Economii diferite. Aceeași provocare structurală.$BTC $XRP
Candelele recente de 1h arată un volum în scădere de 2.07M față de vârfurile anterioare de 4-9M în timpul impulsului către 0.151, indicând o slăbire a momentului la nivelurile curente.
Intrare lungă $$MIRA • Preferat: retragere la 0.1435-0.1400 (Confluență suport MA5/MA10) • Agresiv: poziție mică la actualul 0.151 cu stop strâns
Stop Loss: 0.1457 dacă s-a intrat la 0.1510, pe baza structurii de suport
Sprijină-mă doar făcând clic mai jos pentru a tranzacționa 👇 Sărbători MIRABSC MIRAUSDT Perp 0.1479 +9.71% Dacă nu apare o retragere, consideră să ratezi tranzacția mai degrabă decât să urmărești.#mira #mirausdt
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