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Bitcoin ETF has undergone a historic transformation! The volatility surprisingly approaches that of U.S. stocks. What secrets lie behind this?




"Has the crazy volatility era of Bitcoin ended?"

On June 27, a tweet by Bloomberg Senior ETF Analyst Eric Balchunas ignited the crypto community: the volatility of the Bitcoin spot ETF (IBIT) is converging towards U.S. stocks at an astonishing rate!

Data shows that in the past year, the 60-day volatility ratio of IBIT to the S&P 500 Index (SPX) has plummeted from 5.7 times to just above 1, which means that the volatility of Bitcoin has almost leveled with that of the US stock market!

Why did this phenomenon make the market explode?

1. Disrupting perceptions: Bitcoin is known for its "high volatility," and now it is actually comparable to the stable volatility of US stocks, completely breaking the stereotypes in the traditional financial circle!
2. The Magic of ETF: After the listing of spot ETFs, a large amount of institutional funds flowed in, significantly smoothing out the drastic fluctuations of Bitcoin, and the "retail battlefield" is gradually shifting to the "institutional battlefield"!
3. Signal significance: As volatility approaches that of the US stock market, it may indicate that Bitcoin is being "incorporated" into mainstream financial markets, potentially attracting more conservative capital in the future!

Hidden investment opportunities and risks

- Opportunity: A decrease in volatility may attract more traditional investors, driving Bitcoin into a new growth cycle!
- Risk: If volatility continues to decline, will Bitcoin lose its "high yield" appeal?

Netizens hotly discuss:

- "Is Bitcoin going to become 'digital gold' or 'tech stocks'?"
- "The era of institutional control has arrived, can retail investors still get a share of the profits?"

What do you think? Feel free to leave your opinions in the comments!

(Reminder: The market has risks, and investments should be made cautiously!)
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