📉 Why the Crypto Market Bled on Jan 29–30

1ïžâƒŁ Risk-off sentiment across markets

Global markets turned cautious, and crypto moved in line with equities as traders reduced exposure to high-volatility assets.

2ïžâƒŁ Fed rate-cut uncertainty

Although rates were unchanged, signals of “higher for longer” pushed investors away from speculative assets like crypto.

3ïžâƒŁ Bitcoin ETF outflows

Weak ETF demand created real selling pressure in spot markets, affecting overall market confidence.

4ïžâƒŁ Leverage liquidations

Once key levels broke, leveraged long positions were liquidated, accelerating the downside move.

5ïžâƒŁ Capital rotation to safer assets

Funds temporarily shifted toward gold and traditional safe havens, reducing crypto inflows.

🧠 Market reset, not market failure.

$BTC $ETH $SOL

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