Bitcoin has recorded a significant drop, positioning itself below $80,000 amid high volatility in the global market. This decline occurs in the context of economic tensions, regulatory uncertainty, and macroeconomic factors affecting both traditional markets and the crypto sector. Investors are faced with a debate scenario: some view this drop as an opportunity to acquire assets at reduced prices, while others interpret the trend as the prelude to a possible prolonged bearish consolidation. Financial analysts emphasize the importance of acting with caution, evaluating the situation based on technical and fundamental analysis before making hasty decisions. In this environment, every market movement is closely monitored, and long-term strategy becomes crucial to face the current challenges in the crypto world.