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Bitcoin Realized Losses Dominate – Bear Market Pressure Intensifies

By Bitcoinist
Feb 11, 2026
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Bitcoin continues to struggle below the $70,000 threshold, reflecting persistent market pressure after weeks of volatility and weak recovery attempts. Despite occasional rebounds from the $60,000 region, upside momentum remains limited, suggesting that demand has yet to return in a meaningful way. Market sentiment has shifted toward caution, with traders increasingly focused on downside risk rather than breakout potential.

Recent on-chain analysis from Darkfost indicates that realized losses are still dominating market activity. This imbalance implies that a large portion of investors entered positions near recent highs and are now exiting at a loss. Such behavior typically emerges during late-stage corrections, when conviction weakens, and participants prioritize capital preservation over long-term positioning.

Realized Losses Signal Ongoing Market Stress

The seven-day moving average of this ratio is now approaching levels typically associated with bear market conditions. This shift suggests that short-term sentiment remains fragile and that selling pressure continues to dominate recent transaction flows. For context, the annual average ratio sits around 6.33, indicating that, over longer horizons, profit realization still outweighs losses due to the inertia embedded in yearly data.

Importantly, realized profits have recently begun to slightly exceed losses after several weeks of persistent deficit, hinting at tentative stabilization rather than confirmed recovery. Historically, periods characterized by panic selling or capitulation can extend for months, particularly during broader bearish phases.

For a durable recovery to emerge, this ongoing purge of weaker hands must likely conclude, allowing unrealized profits to rebuild and restore investor confidence.

Bitcoin Price Tests Key Support After Sharp Breakdown

Bitcoin’s recent price structure reflects a clear deterioration in momentum, with the asset now struggling around the $68,000–$70,000 region after a sharp decline from late-2025 highs. The chart shows a decisive breakdown below intermediate support levels that had previously held during consolidation phases, confirming a transition from corrective pullback to a more pronounced bearish trend.

Price action has also slipped below the short- and medium-term moving averages, both of which are now sloping downward. This configuration typically signals sustained selling pressure rather than a temporary retracement. Meanwhile, the longer-term moving average continues to flatten, suggesting that macro trend support has not yet fully failed but is increasingly under threat.

Volume behavior adds another layer of caution. The latest selloff was accompanied by a noticeable increase in trading activity, often interpreted as distribution rather than passive drift lower. Such spikes frequently appear during liquidation cascades or institutional repositioning.

From a technical standpoint, the $60,000–$65,000 range now stands out as the next critical demand zone. Holding above this region could stabilize sentiment and allow for consolidation. Failure to defend it, however, would likely confirm deeper bear-market continuation rather than a simple correction phase.

Featured image from ChatGPT, chart from TradingView.com 

Disclaimer: The information on this page may have been obtained from third parties and does not necessarily reflect the views or opinions of BitKan. This content is provided for general informational purposes only, without any representation or warranty of any kind, nor shall it be construed as financial or investment advice. BitKan shall not be liable for any errors or omissions, or for any outcomes resulting from the use of this information. Investments in digital assets can be risky. Please carefully evaluate the risks of a product and your risk tolerance based on your own financial circumstances. Products mentioned in this article may not be available in your region.

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