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P&D | MSet's #POW Desde 2022

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Bitcoin Vector

Bookmark this:

One of the most important signals during bear-market transitions is not the breakdown itself.

It’s the Risk Index destabilization that comes before it.

In the 2022 bear market, Bitcoin briefly stabilized and Risk compressed into low-risk territory.

At first, it looked bullish.

But once Risk started losing stability and pushed back above the low-risk zone, the structure changed fast.

That destabilization preceded the April breakdown...

And later, a -35% collapse into the May capitulation.

This is why the current low-risk regime is so crucial.

As long as Risk remains suppressed, BTC can keep absorbing selling pressure and sustain expansion.

But when the Risk Index destabilizes again and re-enters high-risk territory, that becomes the first warning sign that sellers are regaining control.

Bookmark this in case of breakdown.

It rarely comes without a Risk Index warning first.