#BTCvsMarkets
Bitcoin's relationship with traditional markets, particularly stocks, is complex and evolving. Historically seen as a separate, uncorrelated asset, Bitcoin has shown increasing correlation with stock market movements, especially during times of economic uncertainty. Institutional adoption and the perception of Bitcoin as a risk asset contribute to this link. However, Bitcoin's volatility often exceeds that of traditional markets, and its long-term correlation remains fluid, influenced by factors like market sentiment and macroeconomic events.