Solana's Sharpe ratio has reached a rarely high level, indicating that as downside volatility diminishes, its risk-adjusted performance has improved. Analysts point out that the current level is consistent with peak levels in previous cycles, which typically signal that the market is in consolidation or early recovery stages rather than an immediate breakout. This suggests that the market environment is more conducive to long-term accumulation, with a more balanced risk-reward profile, but the overall market condition remains a key factor for sustained upward movement.

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