According to BlockBeats, on January 13, a report from Glassnode highlighted that Bitcoin's implied volatility has decreased to a low expected range. This indicates that the market anticipates mild fluctuations in the upcoming quarter, suggesting a return to a low volatility state. This scenario reflects limited short-term hedging demand and typically signals that once market volatility re-emerges, prices may adjust more swiftly as positions are recalibrated based on new information. Additionally, the profit-taking volume among long-term Bitcoin holders has cooled to levels usually observed during shallow bear phases. This situation is often associated with high uncertainty and tends to occur during mid-cycle stagnation in bull markets or early stages of deeper bear markets. #BTC
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