web3: Bitcoin breaks above $69,000, bottom signals receive renewed attention
CoinPedia
08-20 07:59
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Bitcoin returns above $69,000, market focuses on ETF capital flows, bottom signals on the chain, and subsequent resistance zones.
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比特币在连续数月横盘后重新走强,日内涨幅超过 7%,价格升至 6.9 万美元上方。市场研究机构 VanEck 提到,当前已有多项常见的“触底”指标出现,叠加现货比特币 ETF 恢复净流入,市场对后续反弹空间的讨论再度升温。

多项底部指标已出现

VanEck 在最新研究中称,比特币已经触发 12 项市场出清信号中的 8 项,涉及 MVRV Z-score、较历史高点回撤幅度、未实现盈亏水平以及盈利供应占比等指标。文章还提到,在过去 3 个月中的某个阶段,这 12 项信号一度全部出现,显示市场曾经历较深调整。

从价格表现看,比特币此前长期在 6.2 万至 6.4 万美元区间整理,如今已向上突破。报道援引的数据称,其 MVRV Z-score 约为 0.53,处于相对中性区域,意味着当前价格与持币成本之间的偏离并不极端。

需求转正与 ETF 回流

除估值指标外,市场也在关注链上需求变化。报道显示,比特币表观需求自 2026 年 2 月以来首次转为正值,规模约为 2.5 万枚 BTC。这通常意味着前期抛压有所减弱,卖盘集中释放后,市场开始重新吸收流动性。

与此同时,美国现货比特币 ETF 已恢复连续多个交易日净流入。对机构资金而言,ETF 资金方向往往被视为观察中期需求的重要窗口。若净流入延续,可能继续为现货价格提供支撑。

市场关注两个阻力区间

从技术位置看,比特币升破 6.5 万美元后,原先的上沿压力被市场视为新的短线支撑。报道提到,下一处主要阻力位在 7.13 万至 7.15 万美元附近,这一区域与 200 日均线接近。

若继续上行,市场还会关注 7.5 万至 7.6638 万美元区间。文章认为,若价格有效突破这一带,可能意味着更大级别的下行趋势进一步减弱。除价格结构外,市场也在观察相对强弱指标是否重新站上 50,以确认买盘是否持续占优。

宏观与政策因素仍在影响情绪

近期推动风险资产回升的背景,还包括美国国债回购操作带来的美元走弱与收益率回落。报道认为,这类变化提升了部分资金对高波动资产的兴趣,比特币因此受益。

此外,市场也在关注美国《CLARITY Act》后续表决进展、美联储利率变化,以及中东局势演变。这些因素仍可能影响机构风险偏好,并左右比特币接下来的资金流向与波动节奏。

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