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In late December 2025, Bitcoin remains volatile at high levels between $88,000 and $90,000, showcasing a pattern of "Asia-Europe consolidation and U.S. market sell-off." The U.S. spot Bitcoin ETF experiences net capital outflows, with long-term holders accelerating profit-taking and locking in gains. The market's fear and greed index is in the "fear" zone. Institutions predict increased volatility in 2026, with prices possibly reaching $250,000 by the end of 2027, as Bitcoin gradually transforms into a macro asset investment tool.
Would you like me to organize the recent key support/resistance levels and institutional holdings changes of Bitcoin into a simplified data table for quick reference?