This comprehensive guide analyzes Bitcoin's 2024-2025 market dynamics following its correction from $126,000 to below $100,000, examining technical support levels and the Fear and Greed Index at extreme lows. The article explores institutional adoption trends, including significant ETF outflows, while highlighting macroeconomic pressures from US-China trade tensions and Federal Reserve policies that have intensified market volatility. Beyond Bitcoin, it evaluates altcoin performance declines, stablecoin inflows, and DeFi liquidations, drawing historical parallels to previous crypto cycles. The analysis demonstrates that despite short-term bearish sentiment, long-term recovery forecasts range from $120,000 to $170,000 within 6-12 months, supported by growing institutional participation, blockchain innovation, and evolving regulatory frameworks that enhance market legitimacy and stability on Gate and other platforms.