Short-term sentiment remains weak, with price pullbacks combined with extreme fear index levels pushing the market into risk-averse mode. However, based on on-chain data and institutional behavior, the long-term structure remains intact—the volatility is primarily driven by macroeconomic disruptions (geopolitical conflicts, inflation data) affecting sentiment. Historically, such extreme panic zones have often served as observation windows for long-term capital positioning, but near-term volatility risks still warrant attention.

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