Every previous Q1 in a post-halving year has delivered strong positive gains for BTC, ETH, and top altcoins. However, this time, things look different.
Could this be the worst Q1 in a post-halving year? The uncertainty is unsettling, though the unfavorable macroeconomic conditions make it understandable. Fear and uncertainty are holding back global liquidity, preventing the money supply from expanding to the level it typically reaches at this stage.
Perhaps it's time to rethink our understanding of bull and bear markets. Thoughts?