#比特币ETF产品 Wait a minute, I need to understand this piece of news thoroughly... Are institutions continuously accumulating at "high levels"? How should I interpret this? 🤔
I used to think that now was the top of the bull market and it was time to make a move, but it turns out that professional institutions are actually buying more at this moment. After looking at the data, I realized—retail investors are selling, while institutions are buying. These are truly two different worlds. ETF inflows reached $25 billion, yet Bitcoin's price actually dropped by 5.4%. The gap is really astonishing.
The most heartbreaking part is the phrase "Most people are still using old cycle logic to view the new era." I feel like this is exactly what beginners like me are doing. No wonder we're easily scared by short-term fluctuations.
Now I understand—although 2025 looks the darkest, it is actually a golden period for supply turnover and institutional allocation. If you're really optimistic about the first half of 2026, then this current point in time is actually a phase for layout.
Let me rethink my holdings strategy... I feel like I need to shift my mindset! Can any experts give some guidance on what a beginner should do during this period to be more rational?
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#比特币ETF产品 Wait a minute, I need to understand this piece of news thoroughly... Are institutions continuously accumulating at "high levels"? How should I interpret this? 🤔
I used to think that now was the top of the bull market and it was time to make a move, but it turns out that professional institutions are actually buying more at this moment. After looking at the data, I realized—retail investors are selling, while institutions are buying. These are truly two different worlds. ETF inflows reached $25 billion, yet Bitcoin's price actually dropped by 5.4%. The gap is really astonishing.
The most heartbreaking part is the phrase "Most people are still using old cycle logic to view the new era." I feel like this is exactly what beginners like me are doing. No wonder we're easily scared by short-term fluctuations.
Now I understand—although 2025 looks the darkest, it is actually a golden period for supply turnover and institutional allocation. If you're really optimistic about the first half of 2026, then this current point in time is actually a phase for layout.
Let me rethink my holdings strategy... I feel like I need to shift my mindset! Can any experts give some guidance on what a beginner should do during this period to be more rational?