Bitcoin fluctuates between resistances as the stock market gains ground in 2025

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Bitcoin’s performance at the start of 2025 reflects the characteristic volatility of the crypto market. In the recent U.S. session, the BTC price attempted to break higher after encouraging inflation data, briefly touching $89,000 before losing ground and stabilizing near the $86,000 level.

This movement illustrates a broader pattern that has solidified during this year: while Bitcoin struggles to maintain its gains, traditional stock markets have demonstrated relatively stronger performance. The gap between the two markets has widened significantly, with stock indices showing more consistent traction than digital assets.

Context of current volatility

The release of key economic indicators, such as consumer price index data, remains an important catalyst for Bitcoin movements. When these figures come in below market expectations, they generally generate temporary optimism in risk assets, including cryptocurrencies. However, as evidenced in this episode, the bullish momentum proved to be limited, reflecting the relative weakness that characterizes the crypto sector compared to traditional assets.

Comparative dynamics between markets

The question many investors ask is why the stock market continues to outperform the crypto market. Several factors contribute to this dynamic: greater confidence in traditional assets, capital flows directed toward specific sectors of the stock market, and a perception of lower volatility in the main indices.

Bitcoin continues to be viewed as a volatile investment instrument, especially when compared to the more predictable performance of blue-chip stocks. This outlook suggests that, at least during 2025, the competition for investor capital favors the stock market over digital currencies.

BTC3,14%
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