Bitcoin has fallen below sixty thousand dollars as ETF outflows accelerate, institutional participation continues to weaken, and investors pay some of the highest premiums for downside protection since the 2022 bear market. In this episode, we examine what is driving the renewed wave of pessimism, why options markets are flashing signals previously seen near major market bottoms, how Strategy’s latest capital structure changes could affect sentiment, and whether quarter-end ETF rebalancing could provide a tailwind as July begins.

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