进入二月第二周,比特币仍在7万美元附近徘徊,市场情绪偏谨慎。多位交易员认为,当前价格尚未构筑可靠的长期底部,未来几周仍存在再次下探的可能,部分观点甚至指向5万美元区间。
交易员 CrypNuevo 指出,近期的反弹更像是为清理7.2万至7.7万美元区间的空头仓位而设计的短期拉升,而非趋势反转。他预计,前期形成的长影线将被逐步回补,过程可能持续数周。另一位分析人士 Daan Crypto Trades 认为,在经历剧烈波动后,比特币更可能进入震荡整理阶段,等待新的方向指引。
宏观层面,本周的核心变量来自美国。1月份CPI数据即将公布,而市场对美联储3月降息的预期明显降温。CME Group 的FedWatch数据显示,利率维持不变的概率已升至82%。在特朗普提名 Kevin Warsh 出任美联储主席的背景下,投资者担心货币政策将更趋强硬。Mosaic Asset Company 指出,高企的核心通胀与稳健的经济增长,正推高长期利率预期,并持续压制风险资产估值。
美元走势同样值得关注。美元指数在1月触及多年低位后反弹,但仍未站稳98上方。分析师 Aksel Kibar 认为,这是十年来的关键区域,可能决定中长期方向。Swissblock 首席宏观经济学家 Henrik Zeberg 则将当前形态与2021年初进行对比,认为若历史重演,比特币仍可能在未来数月出现大幅拉升,但最终会在强势美元背景下见顶。
亚洲方面,日本政局变化被视为新的扰动因素。高市早苗连任后,市场预期日本将采取更积极的财政刺激政策,日元走弱风险上升。XWIN Research Japan 指出,日元贬值可能改变全球资本流向,对包括比特币在内的风险资产构成短期压力。Robin Brooks 也警告,大选结束后,日元可能再次面临下行冲击。
链上数据方面,矿工行为出现异动。2月5日,矿工向交易所转入约24,000枚比特币,创下2024年以来新高。CryptoQuant 分析师 Arab Chain 认为,这反映了市场正处于再分配阶段,短期抛压或将增加,但不必然意味着长期趋势转空。
在多重宏观与链上信号交织之下,比特币的下一步走势仍充满不确定性。CPI数据、美联储政策预期、美元与日元变化,将共同决定本周市场的风险方向。
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