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Recently, the international situation has heated up, and market risk aversion sentiment has significantly increased, with risk assets generally under pressure, and BTC has also experienced a short-term correction.
From a trading perspective, current market funds are primarily migrating to traditional safe-haven assets, combined with marginal changes in liquidity expectations, which amplifies the volatility of digital assets.
From a long-term perspective, the current uncertainty continues to reinforce BTC's value as an alternative asset, and the long-term strategic layout of institutional funds has not fundamentally changed.
Moving forward, it is important to focus on the marginal changes in the situation and the resulting re-pricing of inflation and liquidity expectations.