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Every Ethereum Whale Cohort Now Underwater: ETH Capitulation Marking The Final Bottom?

Every Ethereum Whale Cohort Now Underwater: ETH Capitulation Marking The Final Bottom?

Sebastian Villafuerte
by Sebastian Villafuerte
Last Updated: February 20, 2026 7:00 pm
·
Posted in Ethereum
Trusted Editorial content, reviewed by leading industry experts and seasoned editors. Ad Disclosure

Ethereum continues to struggle below the $2,000 level as persistent selling pressure and elevated uncertainty weigh on broader crypto market sentiment. Despite occasional rebound attempts, price action remains fragile, with volatility still elevated after months of corrective momentum. The inability to decisively reclaim this psychological threshold has reinforced caution among traders, particularly as liquidity conditions tighten and macro uncertainty continues to influence risk appetite across digital assets.

Related Reading: Wall Street’s Bitcoin Exit Door: How Institutional Depth Allowed LTH To Distribute Record Supply

Recent analysis from Darkfost adds further context to the current market structure. According to the data, the ongoing correction is now affecting all investor cohorts, including Ethereum’s largest holders. Notably, the unrealized profit ratio for whale groups has shifted into negative territory across the board. Wallets holding between 1,000 and 10,000 ETH show an unrealized profit ratio of approximately -0.21, while those with 10,000 to 100,000 ETH stand near -0.18. Even the largest cohort — addresses holding more than 100,000 ETH — has slipped into negative territory around -0.08.

Ethereum Whales Unrealized profit ratio | Source: CryptoQuant
Ethereum Whales Unrealized profit ratio | Source: CryptoQuant

This development is notable because Ethereum has not yet revisited its April lows, suggesting the depth of unrealized losses is expanding earlier than in some previous corrective phases. Such conditions can increase market sensitivity, as even traditionally resilient holders may reassess positioning amid prolonged volatility.

Whale Stress Raises Capitulation Risk While Bottom Formation Signals Emerge

Darkfost further notes that if Ethereum extends its decline, large holders could face increasing financial pressure. Sustained downside would deepen unrealized losses across whale cohorts, potentially forcing some participants to reduce exposure or liquidate portions of their holdings. Historically, such capitulation events among large investors tend to amplify short-term volatility, particularly when liquidity conditions are already fragile.

However, despite the negative profit ratios now visible across whale groups, Ethereum has so far managed to stabilize above recent local support zones. This relative resilience suggests that, while sentiment remains cautious, immediate large-scale distribution from whales has not yet materialized. The distinction is important because unrealized losses alone do not necessarily trigger selling unless accompanied by liquidity stress, leverage pressure, or broader market shocks.

Related Reading: Crypto Whales Build A ‘Fortress Floor’ As Retail Panic Sells The Altcoin Sector

Periods in which major holders experience stress have often coincided with medium-term bottom formation phases in previous cycles. As weaker hands exit and leverage unwinds, markets sometimes transition into accumulation regimes characterized by lower volatility and gradual stabilization.

Still, this interpretation should be approached cautiously. Whale positioning is only one element of market structure, and confirmation typically requires improving liquidity, stronger spot demand, and supportive macro conditions before a sustained recovery can take hold.

Ethereum Price Structure Remains Fragile Below Key Averages

Ethereum continues to trade under clear technical pressure, with the weekly chart showing a sustained inability to reclaim the $2,000 region decisively. Following the sharp rejection from the 2025 highs near the $4,800 zone, price action has transitioned into a sequence of lower highs and weakening rebounds, typically associated with corrective market phases rather than accumulation-led recoveries.

ETH testing critical demand level | Source: ETHUSDT chart on TradingView
ETH testing critical demand level | Source: ETHUSDT chart on TradingView

Technically, ETH is currently positioned below several major moving averages that previously acted as dynamic support. These levels now function as resistance, limiting upside attempts unless a strong reclaim occurs with expanding volume. The recent decline toward the $1,900 area reflects persistent selling pressure, while repeated failures near the mid-$2,000 range reinforce cautious market sentiment.

Related Reading: Retail’s Last Stand: The Crypto -$209B Liquidity Trap That Smart Money Refuses to Touch

Volume activity has moderated compared with the impulsive rally phase, suggesting reduced speculative participation. While declining volume during corrections can sometimes signal seller exhaustion, confirmation of stabilization usually requires sustained buying interest rather than temporary rebounds.

From a structural perspective, immediate support appears concentrated near the recent local lows around the $1,800 region, while resistance remains clustered between roughly $2,200 and $2,600. Until Ethereum reclaims these levels convincingly, the broader technical outlook remains vulnerable, with consolidation or further downside still plausible.

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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