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Risk-Off Signals Dominate As Bitcoin Tests Market Conviction – Details

Risk-Off Signals Dominate As Bitcoin Tests Market Conviction – Details

Sebastian Villafuerte
by Sebastian Villafuerte
Last Updated: February 11, 2026 9:00 pm
·
Posted in Bitcoin News
Trusted Editorial content, reviewed by leading industry experts and seasoned editors. Ad Disclosure

Bitcoin has slipped below the key $70,000 level and is now attempting to stabilize above $65,000 as broader market conditions remain fragile. The recent decline reflects persistent selling pressure, cautious investor positioning, and ongoing uncertainty around macroeconomic trends that continue to influence liquidity across risk assets. While volatility is not unusual at this stage of the cycle, the inability to quickly reclaim lost ground has kept sentiment defensive.

Related Reading: Bitcoin Sell-Off Goes Largely Unabsorbed: Fresh Capital Is Missing

A recent CryptoQuant report from XWIN Research Japan adds important macro context. US retail sales for December came in below expectations in both the core metric and the retail control group, pointing to a meaningful slowdown in consumer spending. Because consumption remains the primary engine of the US economy, this data is increasingly viewed not as temporary noise but as a potential inflection point in the broader business cycle.

Within this framework, the report characterizes Bitcoin as being in a corrective phase embedded within a broader bearish trend. Downside risks remain conditionally dominant, particularly if financial conditions tighten further or capital flows into risk assets continue to weaken. However, the outlook remains sensitive to shifts in liquidity, policy expectations, and institutional demand, factors that could still influence Bitcoin’s medium-term trajectory despite current pressure.

Macro Slowdown And Weak Spot Demand

The report also highlights a deteriorating macro backdrop that continues to shape Bitcoin’s market behavior. Recent data point to simultaneous slowdowns in both consumer spending and wage growth. The downside surprise in US retail sales increases risks to corporate revenues and employment trends, while the Employment Cost Index (ECI) came in below expectations, signaling easing wage inflation.

This combination tends to shift the Federal Reserve’s focus toward growth risks, but it can also maintain pressure on risk assets as economic momentum cools.

Manufacturing employment adds another layer of concern. The sector has been in a gradual long-term decline, often interpreted as a cyclical recession signal. When combined with softer consumption data and moderating wages, the broader picture suggests a phase of disinflation occurring alongside slowing economic growth rather than a rapid recovery.

Within this environment, Bitcoin remains susceptible to short-term risk-off moves, often behaving similarly to equities when liquidity tightens. Although expectations of eventual monetary easing can trigger rallies, the sustainability of those rebounds remains uncertain. Notably, the Coinbase Premium Gap has stayed persistently negative since late 2025, indicating weak US spot demand and price action driven largely by derivatives.

Bitcoin Coinbase Premium Gap | Source: CryptoQuant
Bitcoin Coinbase Premium Gap | Source: CryptoQuant

A sustained shift toward positive premium levels, supported by ETF inflows, would likely be required to materially improve the outlook.

Related Reading: Bitcoin Realized Losses Dominate – Bear Market Pressure Intensifies

Bitcoin Tests Critical Support As Weekly Structure Weakens

Bitcoin’s weekly chart shows clear deterioration in price structure after losing the $70,000 level, with BTC now attempting to stabilize around the mid-$60,000 range. The breakdown below this psychological threshold marks a shift from consolidation to a more defensive market posture, especially as price trades beneath shorter-term moving averages that previously acted as dynamic support.

BTC consolidates around critical level | Source: BTCUSDT chart on TradingView
BTC consolidates around critical level | Source: BTCUSDT chart on TradingView

Momentum indicators inferred from price behavior suggest declining upside strength. Recent candles show persistent selling pressure, with lower highs forming since the late-2025 peak. Volume spikes accompanying the latest drop reinforce the idea of distribution or forced deleveraging rather than orderly profit-taking. Historically, such patterns tend to precede either extended consolidation phases or further corrective moves unless strong spot demand reappears quickly.

Related Reading: Binance SAFU Fund Adds 4,225 Bitcoin ($300M) As Price Reclaims $70K Level

From a structural perspective, the next relevant support zone appears near the $60,000 region, roughly aligned with longer-term trend support and prior high-liquidity trading ranges. Holding above this level would preserve the broader bullish market structure despite the correction. Failure to do so, however, could open the door to deeper retracement scenarios.

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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