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我发现大饼现在的上涨逻辑有种被卡脖子的感觉。
举个例子:
传统机构第一天通过ETF买入大饼,因为买盘足够所以大饼会涨。假设华尔街某基金的策略是98%传统资产 + 2%的btc现货。
那么第二天,btc涨了之后,在基金策略里的占比从2%膨胀到了5%,触发机构配置风控,造成被动抛售,btc下跌..于是比特币会涨所以比特币会跌😂
现在加密内部是以杠杆和衍生品来主导交易量,大饼涨了,多头杠杆就增加,结果下方根本没有真实的现货买盘支撑,全是合约杠杆堆起来的,至少略微回调就触发连环爆仓,紧接着又跌回原点,是不是这些原因造成了大饼反复横跳?