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Bitcoin's On-Chain Resilience: A New Era of Institutional Accumulation and Inflation Hedging
Bitcoin's On-Chain Resilience: A New Era of Institutional Accumulation and Inflation Hedging

- Bitcoin's 2025 on-chain data shows institutional accumulation rising as short-term retail holdings shrink by 30-38% amid macroeconomic volatility. - Gini coefficient hits 0.4677, with whale wallets (10,000+ BTC) adding 16,000 BTC, mirroring 2019 bull market patterns. - BTC's 0.76 correlation with equities and inverse -0.65 with Fed rates solidifies its role as inflation hedge, outperforming gold's static supply model. - 64% of supply now held for 1+ years, with $104k-$108k identified as critical support

ainvest·2025/08/27 16:51
Why Ethereum and ETH Treasury Firms Are Undervalued Opportunities in 2025
Why Ethereum and ETH Treasury Firms Are Undervalued Opportunities in 2025

- Standard Chartered targets $7,500 for ETH by 2025, citing structural supply dynamics and institutional demand outpacing Bitcoin. - Institutional ETFs and treasuries absorbed 5% of ETH supply, creating deflationary pressure as corporate holdings reach 10% by 2025. - Ethereum’s 3% staking yield and DeFi utility offer a yield edge over Bitcoin, supported by regulatory clarity and network upgrades. - ETH/BTC ratio is projected to rise to 0.05 by year-end, signaling institutional preference shift and underval

ainvest·2025/08/27 16:51
Why Prediction Markets Need Yield to Compete with Traditional Hedging Tools
Why Prediction Markets Need Yield to Compete with Traditional Hedging Tools

- Prediction markets struggle to compete with traditional hedging tools due to structural limitations like zero-sum dynamics and fragmented liquidity. - Ethereum's DeFi innovations (e.g., liquid staking tokens, AMMs) offer solutions by enabling yield generation alongside speculative bets. - The ETHY.U ETF demonstrates hybrid models combining yield and speculation, achieving 10.08% returns while maintaining price exposure. - Integrating yield mechanisms could attract institutional capital, transforming pred

ainvest·2025/08/27 16:51
Flash
21:19
Snap shares fell 2.8% after hours
On the news front, the company's Chief Financial Officer, Derek Anderson, has resigned.
21:18
The latest forecast from Alaska Air Group Inc. shows that its unit cost for the second quarter is expected to improve by about 1.5 percentage points year-on-year compared to the first quarter.
This data indicates that the company is making steady progress in cost control. Despite ongoing operational pressures in the aviation industry, the group has successfully driven unit cost metrics in a positive direction by optimizing routes and enhancing operational efficiency. The improvement trend between quarters reflects management's effective strategies in responding to market challenges.
21:18
Alaska Air Group, Inc. announced that it will suspend further share repurchases until it can gain greater clarity on its earnings trajectory for the second half of 2026.
This decision reflects the management's cautious outlook on the financial prospects for the second half of the year. Airlines typically enhance shareholder value through buybacks when cash flow is sufficient, but the current suspension indicates the company is prioritizing financial stability. Analysts have pointed out that the airline industry is significantly affected by seasonal fluctuations and macroeconomic factors, making management's choice to retain cash reserves a prudent move. Alaska Airlines stated that it will continue to closely monitor operational data and market conditions, and will reassess its capital allocation strategy once earnings visibility improves. The suspension of buybacks will not affect the company's regular dividend distributions or business investment plans.
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