# BitcoinMacroCorrelation

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#BitcoinMacroCorrelation
Bitcoin's relationship with the broader U.S. macroeconomic environment has become one of the most discussed themes among institutional investors and market strategists. Rather than evaluating Bitcoin in isolation, professional portfolio managers are increasingly analyzing how inflation trends, Treasury yields, Federal Reserve policy, U.S. dollar strength, and economic growth expectations influence digital asset performance. This macro-driven approach reflects the growing maturity of Bitcoin as an investable asset within diversified institutional portfolios.
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