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BTC $61,754.28 +0.02%
ETH $1,622.09 -1.45%
BNB $587.70 -0.73%
XRP $1.11 -3.35%
SOL $63.73 -1.69%
TRX $0.3215 -0.39%
DOGE $0.0834 -1.94%
ADA $0.1603 -3.14%
BCH $196.89 -4.03%
LINK $7.65 -2.00%
HYPE $55.39 -6.06%
AAVE $61.97 +0.73%
SUI $0.7371 -2.39%
XLM $0.1852 -4.98%
ZEC $416.82 -9.07%

Glassnode:比特币与宏观市场关联加深,呈现典型风险资产特征

2025-06-25 16:54:12
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ChainCatcher 消息,据 Glassnode 在 X 平台发文表示,“2022 年以来,比特币相对于全球流动性(GLI)和股票市场(如 SPY/QQQ)的贝塔值持续上升,而其对信用压力(高收益债券利差 HY OAS)的贝塔则变得更加负相关。这表明 BTC 越来越像一个宏观资产:在风险偏好上升时上涨,在市场压力加剧时下跌。”

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