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BTC $77,345.17 +4.69%
ETH $2,432.94 +5.45%
BNB $641.91 +4.00%
XRP $1.49 +5.76%
SOL $90.02 +6.17%
TRX $0.3249 -0.61%
DOGE $0.1007 +5.31%
ADA $0.2654 +6.56%
BCH $456.71 +4.54%
LINK $9.80 +5.99%
HYPE $44.60 -0.08%
AAVE $117.01 +11.49%
SUI $1.03 +6.96%
XLM $0.1734 +7.96%
ZEC $351.06 +2.99%
BTC $77,345.17 +4.69%
ETH $2,432.94 +5.45%
BNB $641.91 +4.00%
XRP $1.49 +5.76%
SOL $90.02 +6.17%
TRX $0.3249 -0.61%
DOGE $0.1007 +5.31%
ADA $0.2654 +6.56%
BCH $456.71 +4.54%
LINK $9.80 +5.99%
HYPE $44.60 -0.08%
AAVE $117.01 +11.49%
SUI $1.03 +6.96%
XLM $0.1734 +7.96%
ZEC $351.06 +2.99%

Glassnode:比特幣與宏觀市場關聯加深,呈現典型風險資產特徵

2025-06-25 16:54:12
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ChainCatcher 消息,据 Glassnode 在 X 平台發文表示,"2022 年以來,比特幣相對於全球流動性(GLI)和股票市場(如 SPY/QQQ)的貝塔值持續上升,而其對信用壓力(高收益債券利差 HY OAS)的貝塔則變得更加負相關。這表明 BTC 越來越像一個宏觀資產:在風險偏好上升時上漲,在市場壓力加劇時下跌。"

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