🐳 ETH Whale De-Risk Latest Analysis (Лют 2026)
$ETH Current market backdrop: Ethereum has faced$PIPPIN значний тиск продажу, оскільки великі тримачі зменшують
$DUSK експозицію — включаючи китів, які переміщують ETH на біржі — що сприяє слабкості цін та збільшенню ризику подальших знижень. Великі імена продали мільйони ETH на фоні падаючого цінового середовища.
Whale behavior shifting: On-chain data shows mixed signals: some large wallets are accumulating ETH by withdrawing from exchanges, while others are depositing or selling at key levels, suggesting a de-risk posture and profit taking rather than outright panic.
Risk indicators:
• Heavy selling and liquidations have pressured price toward key support zones — increasing potential downside if stops break.
• Some whales’ holdings are collateralized in DeFi, raising liquidation risk if ETH price drops further.
What this means for price action:
• Short-term risk remains elevated due to selling pressure and leveraged positions.
• Accumulation by smart money suggests some are positioning for a rebound if sentiment stabilizes.
• Key supports and breakout levels will tell whether whales fully re-risk or continue de-risking.
📊 Summary: The market is in a tug-of-war — whales are both reducing risk and opportunistically buying dips. This creates volatility and makes near-term price direction uncertain.
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