Every cycle, short-term volatility triggers the same reaction: fear, headlines, and strong narratives.
But historically, most sharp pullbacks in Bitcoin happen within broader uptrends, especially during periods of heavy institutional participation and reduced volatility.
On-chain data, options positioning, and ETF flows often suggest risk management — not panic.
Do you see current volatility as a warning sign, or just normal cycle behavior playing out?
Why Bitcoin pullbacks feel scarier than they actually are
byu/Mission-Stomach-3751 inCryptoMarkets
Posted by Mission-Stomach-3751