What we're witnessing isn’t panic,it’s strategic positioning. Even with global instability on the rise, institutions are continuing to accumulate $BTC , using regulated financial tools like spot ETFs. This isn’t about speculative FOMO,it’s a well-thought-out shift in capital allocation.
Why does this matter? Wall Street isn’t just betting on BTC anymore,they’re integrating it into their portfolios. Recent inflows, despite macro uncertainty, suggest #Bitcoin is no longer just seen as "risk-on." Instead, it’s becoming a macro-resilient digital collateral.
This could be the start of a whole new narrative: Bitcoin as a defensive hedge in the macro world, not just a speculative play. Now, that’s a shift worth watching