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Bitcoin Coinbase Premium Signals Persistent Weakness In US Spot Demand

Bitcoin Coinbase Premium Signals Persistent Weakness In US Spot Demand

Sebastian Villafuerte
by Sebastian Villafuerte
Last Updated: February 3, 2026 2:00 am
·
Posted in Bitcoin News
Trusted Editorial content, reviewed by leading industry experts and seasoned editors. Ad Disclosure

Bitcoin entered the weekend under heavy selling pressure, decisively losing the $80,000 support and sliding to the $74,000 area for the first time since April 2025. The move has intensified concerns that the market is no longer in a corrective pause but is instead transitioning into a broader bearish phase. Price weakness has coincided with fading demand signals, particularly from US-based investors, a dynamic now standing out clearly in on-chain data.

Related Reading: Bitcoin Futures Trading Volume Falls to Lowest Monthly Level Since 2024

A recent CryptoQuant report highlights a structural shift when comparing the February–April 2025 period with market conditions from November 2025 to today. During the first half of 2025, the Coinbase Premium Index frequently dipped into negative territory, but only briefly. Discounts appeared, were absorbed relatively quickly, and did not persist. That behavior was consistent with tactical selling into strength, rather than a sustained absence of buyers.

The current environment looks materially different. Negative Coinbase Premium readings have become deeper and more persistent, suggesting that US spot demand is no longer stepping in to absorb downside moves. Even after significant price adjustments, discounts remain unresolved, pointing to buyers staying on the sidelines. As Bitcoin trades at levels not seen in nearly a year, this weakening spot demand raises the risk that further downside could unfold before a durable base is formed.

US Spot Demand Remains Absent

The report explains that the current behavior of the Coinbase Premium marks a clear departure from earlier phases of this cycle. Negative prints are no longer brief or episodic. Instead, they are deeper and persist for extended periods, with only short-lived and shallow recoveries. This pattern goes beyond simple selling pressure. It reflects a sustained absence of US spot demand, even as prices move lower.

Bitcoin Coinbase Premium Index | Source: CryptoQuant
Bitcoin Coinbase Premium Index | Source: CryptoQuant

Short-term discounts can emerge for many reasons, including macro shocks, liquidation events, or temporary risk aversion. However, when the premium remains negative after the price has already adjusted, it typically signals that buyers are not stepping in. In other words, the market is not finding support from US-based spot participants who have historically played a stabilizing role during drawdowns.

In practice, this shift is visible in several ways. Downside moves are not being absorbed by spot inflows on US venues. Rebounds occur, but they lack confirmation from spot demand and fade quickly. As a result, price action becomes increasingly driven by derivatives, leverage, and short-term positioning rather than sustained capital allocation.

Compared with spring 2025, US spot demand is now weaker both in magnitude and persistence. Until the Coinbase Premium turns positive and holds for a sustained period, upside momentum remains structurally fragile, leaving Bitcoin vulnerable to further downside pressure.

Related Reading: Global Sell-Off Hits Metals And Crypto As Binance Open Interest Returns To Pre–October 10 Levels

Weekly Structure Weakens as Bitcoin Breaks Key Support

Bitcoin’s weekly chart shows a clear structural deterioration following the loss of the $80,000 support zone. After topping above $120,000 in mid-2025, price has formed a sequence of lower highs and lower lows, signaling a transition from expansion to distribution. The recent breakdown toward the $74,000–$77,000 area marks the first visit to these levels since April 2025, confirming that prior demand has failed to hold.

BTC testing fresh demand | Source: BTCUSDT chart on TradingView
BTC testing fresh demand | Source: BTCUSDT chart on TradingView

From a trend perspective, Bitcoin is now trading below its 50-week moving average, which has started to roll over. This level previously acted as dynamic support throughout the bull phase, but the failure to reclaim it suggests weakening medium-term momentum. The 100-week moving average, currently near the mid-$80,000s, has also flipped into resistance, reinforcing the bearish structure. Meanwhile, the 200-week moving average remains well below price, near the low-$60,000 region, defining a potential downside magnet if selling pressure persists.

Related Reading: Capital Rotation Intensifies As Bitcoin Lags Gold and US Equities

Volume dynamics add to the caution. Selling waves during the breakdown are accompanied by elevated volume compared to recent consolidation phases, indicating distribution rather than passive drift. Although the latest candle shows a modest rebound, it lacks follow-through and remains corrective in nature.

The chart suggests Bitcoin is in a transition phase toward a broader bearish regime. Unless price can decisively reclaim the $85,000–$90,000 zone, rallies are likely to be sold, with risk skewed toward a deeper test of long-term demand levels.

Featured image from ChatGPT, chart from TradingView.com 

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Sebastian Villafuerte

Sebastian Villafuerte

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Sebastian's journey into the world of crypto began four years ago, driven by a fascination with the potential of blockchain technology to revolutionize financial systems. His initial exploration focused on understanding the intricacies of various crypto projects, particularly those focused on building innovative financial solutions. Through countless hours of research and learning, Sebastian developed a deep understanding of the underlying technologies, market dynamics, and potential applications of cryptocurrencies. As his knowledge grew, Sebastian felt compelled to share his insights with others. He began actively contributing to online discussions on platforms like X and LinkedIn, focusing on fintech and crypto-related content. His goal was to expose valuable trends and insights to a wider audience, fostering a deeper understanding of the rapidly evolving crypto landscape. Sebastian's contributions quickly gained recognition, and he became a trusted voice in the online crypto community. To further enhance his expertise, Sebastian pursued a UC Berkeley Fintech: Frameworks, Applications, and Strategies certification. This rigorous program equipped him with valuable skills and knowledge regarding Financial Technology, bridging the gap between traditional finance (TradFi) and decentralized finance (DeFi). The certification deepened his understanding of the broader financial landscape and its intersection with blockchain technology. Sebastian's passion for finance and writing is evident in his work. He enjoys delving into financial research, analyzing market trends, and exploring the latest developments in the crypto space. In his spare time, Sebastian can often be found immersed in charts, studying 10-K forms, or engaging in thought-provoking discussions about the future of finance. Sebastian's journey as a crypto analyst and investor has been marked by a relentless pursuit of knowledge and a dedication to sharing his insights. His ability to navigate the complex world of crypto, combined with his passion for financial research and communication, makes him a valuable asset to the industry. As the crypto landscape continues to evolve, Sebastian remains at the forefront, providing valuable insights and contributing to the growth of this revolutionary technology.

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