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Ethereum Nearing A Turning Point? Supply-Demand Structure Suggest A Shift Is Coming In 2026

Ethereum Nearing A Turning Point? Supply-Demand Structure Suggest A Shift Is Coming In 2026

Sebastian Villafuerte
by Sebastian Villafuerte
Last Updated: December 30, 2025 7:00 pm
·
Posted in Ethereum
Trusted Editorial content, reviewed by leading industry experts and seasoned editors. Ad Disclosure

Ethereum is once again struggling to regain the $3,000 level, highlighting the fragile state of the market as selling pressure continues to weigh on price action. After multiple failed attempts to push higher, ETH remains locked below key resistance, reflecting broad uncertainty and a lack of conviction among both traders and long-term investors.

Related Reading: Galaxy Digital Moves $39M In Bitcoin To Exchanges, Signaling Potential Sell-Off

Market sentiment has deteriorated sharply, with apathy and fear dominating positioning as participants remain hesitant to deploy fresh capital. Rather than aggressive capitulation, the current environment points to exhaustion and indecision, a common feature of late-cycle corrective phases.

According to a recent report by XWIN Research Japan on CryptoQuant, Ethereum is now in a late-stage bearish phase that appears to be transitioning into a more range-bound structure. While bearish pressure still dominates the broader trend, the nature of selling activity is changing.

Instead of sharp, panic-driven sell-offs, the market is experiencing slower, more methodical distribution, suggesting that many weak hands may have already exited. This shift often marks a critical inflection point, where volatility compresses, and price stabilizes within a defined range.

The report notes that such phases typically reflect a market searching for equilibrium. Although this does not guarantee an immediate recovery, it does indicate that downside momentum may be weakening. For Ethereum, the coming weeks will be decisive in determining whether this range evolves into a base for recovery or resolves into another leg lower.

Ethereum’s On-Chain Structure Improves As Price Weakness Persists

While Ethereum continues to struggle below key resistance levels, on-chain indicators suggest that the underlying market structure may be gradually improving. Data shows ETH leaving exchanges at the fastest pace of this cycle, a move increasingly associated with self-custody, staking, and long-term holding rather than short-term trading activity.

This shift is reinforced by validator queue dynamics: for the first time in six months, the entry queue has surpassed the exit queue, with roughly 745,000 ETH waiting to be staked versus around 360,000 ETH queued for withdrawal. The imbalance points to renewed staking participation and a tightening medium- to long-term supply profile.

Additional context comes from the 90-day Spot Taker CVD, which indicates a transition away from strongly sell-dominant conditions toward neutral to mildly positive pressure. Although this does not imply an immediate price rebound, it suggests that aggressive selling is beginning to lose intensity.

Ethereum Spot Taker CVD | Source: CryptoQuant
Ethereum Spot Taker CVD | Source: CryptoQuant

That said, Ethereum ETF flows remain negative on both daily and weekly timeframes, signaling that institutional demand via financial products continues to weigh on price action.

Beyond market flows, Ethereum’s network activity remains resilient. Deployed smart contracts reached a record 8.7 million in Q4 2025, while on-chain real-world asset value expanded to approximately $19 billion, led by Ethereum. These trends indicate that usage-driven demand remains intact despite weak sentiment.

The data support a scenario of ongoing price pressure alongside gradual structural improvement. This assessment would weaken if exchange balances rise again or sell-side flows regain dominance.

Related Reading: Bitcoin Sees Post-Capitulation Conditions Align: Selling Pressure Falls 80%

Price Remains Below Key Moving Averages

Ethereum continues to trade in a tight consolidation near the $2,900–$3,000 zone, reflecting persistent indecision after the sharp correction from the $4,800 cycle peak. The chart shows ETH struggling to reclaim the 50-day and 100-day moving averages, which are now acting as dynamic resistance around the $3,200–$3,600 region. Each attempt to push higher has been met with selling pressure, reinforcing the broader bearish structure that has been in place since November.

ETH consolidates below key MAs | Source: ETHUSDT chart on TradingView
ETH consolidates below key MAs | Source: ETHUSDT chart on TradingView

From a trend perspective, price remains below the declining short-term moving average, while the 200-day moving average near the $3,500 area continues to slope downward. This configuration signals that Ethereum is still trading in a corrective phase rather than a confirmed recovery.

However, downside momentum appears to be weakening. The recent series of higher lows around $2,750–$2,800 suggests that buyers are defending this range as a short-term demand zone.

Related Reading: Ethereum In Limbo As Muted On-Chain Flows Reflect Market Indecision

Volume has also compressed during the latest consolidation, a sign that aggressive selling may be losing intensity. This aligns with the broader narrative of exhaustion rather than renewed capitulation. Still, without a decisive reclaim of $3,200 and a move back above the 50-day average, any upside attempts remain vulnerable.

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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