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ETF inflows, BTC down. Why the disconnect?
BTC slipped toward $83K after failing several times near $87K. At first glance, that looks odd: US spot Bitcoin ETFs posted about $118.8M in net inflows on October 6, even as price weakened.
But one day of ETF data does not tell the full story.
· The timeline flipped fast. Farside data shows about $89.8M in net outflows on October 5, $118.8M in inflows on October 6, then $484.9M in outflows on October 7
· The October 6 inflow was concentrated. IBIT brought in about $122M, more than the category’s total net inflow, while Grayscale Bitcoin Mini Trust saw outflows
· By October 7, withdrawals were broader, with outflows from IBIT, FBTC, ARKB, BITB, HODL and GBTC
· ETF flows are not a real-time map of all BTC demand. They capture US-listed fund activity, while spot, perps and options trade globally around the clock
· Leverage can amplify price moves. When BTC loses key levels, long liquidations can add short-term selling pressure even if one channel shows inflows
· Options expiry matters, but it is not a magic forecast. BTC options expire on October 9, and open interest can shape positioning, but it does not guarantee direction
The bigger read is simple: ETF demand matters, but it is not a price floor.
A single inflow day can coexist with selling elsewhere, especially when macro conditions, yields, leverage and derivatives positioning are all moving at the same time. The market is not only asking whether ETFs bought BTC. It is asking whether demand is broad enough to absorb selling across venues.
What matters next is whether ETF outflows persist, whether demand broadens beyond one fund, and how BTC trades after leverage resets.
For retail traders, the clean question is this: are you watching ETF flows, liquidation levels, or the $87K resistance first?
#BTCETFFlowParadox
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