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Bitcoin’s Outlook: Short-Term vs. Long-Term

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8V Crypto Academy » Bitcoin’s Outlook: Short-Term vs. Long-Term

Bitcoin’s Outlook: Short-Term vs. Long-Term

January 9, 2025
in Breaking, News
Reading Time: 12 mins read
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BTC

93,277.82

-2.05%

ETH

3,287.11

-1.85%

USDT

0.99949698

-0.03%

XRP

2.30

-0.62%

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0.32935359

-4.72%

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1.00

-0.00%

ADA

0.90947319

-5.74%

TRX

0.24470394

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36.64

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SUI

4.59

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5.22

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19.95

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-1.47%

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Despite signs of short-term bearish signals, the long-term outlook for bitcoin remains bullish from a technical analysis perspective. By Katie Stockton.

By Katie Stockton|Edited by Alexandra Levis

Jan 8, 2025, 4:22 p.m. UTC

Viewing the world with an old perspective

Bitcoin rounded out an exceptionally strong 2024 (up 120% yoy) with a whimper, logging the first overbought “sell” signal on its weekly bar chart since mid-April according to the stochastic oscillator, which is an indicator of trend exhaustion. The signal suggests bitcoin will remain range-bound, at least in the short term (roughly 2-6 weeks), as other risk assets (e.g., equities) continue to pull back.

Bitcoin - Weekly - Chart

Key technical levels to watch for bitcoin:

  • Minor resistance is at the most recent high, near $108K, above which is “uncharted” territory. A breakout would be a bullish development, but the momentum does not appear strong enough to generate a breakout at this time.
  • Initial support is near $84.5K, defined by the Ichimoku cloud model, which is a trend-following model based on historical prices. Recent deterioration in our intermediate-term indicators increases the chances that a pullback will deepen further, with secondary support near $73.8K, reinforced by the rising 200-day (~40-week) moving average.

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Despite short- and intermediate-term bearish signals, the long-term outlook for bitcoin remains bullish from a technical perspective following the post-election breakout in November. The breakout to new highs marked emergence from a several-month downtrend channel, and it helped long-term momentum indicators like the monthly moving average convergence/divergence (MACD) reaccelerate. Thus, a correction for bitcoin in Q1 should present an opportunity to add exposure ahead of another upleg in bitcoin later in 2025.

Ethereum: resistance near $4000 is a hurdle for early 2025

Like bitcoin, ether has flashed an overbought “sell” signal, which comes after a rejection at important resistance near $4000. The “sell” signal has intermediate-term implications, supporting a corrective phase over the next couple of months. Ether also has initial support at the daily Ichimoku cloud model, near $3226, above which it has stabilized. We expect a correction in Q1 to lead to a breakdown and test of the 200-day (40-week) moving average. However, our long-term indicators still point higher, albeit less convincingly, compared to bitcoin. A breakout above the $4000 level would likely result in improved long-term metrics like the monthly MACD.

Ether - Weekly - Chart

Bitcoin vs. ether: 2024 outperformance by bitcoin gives way to volatility

In 2024, bitcoin outperformed ether by 74%, a trend that can be clearly seen in the bitcoin/ether ratio. Since early November, relative performance has become more fickle between the two largest cryptocurrencies, evidenced by the wide trading range that has taken hold of the ratio.

During a crypto market correction, bitcoin normally outperforms ether since it is usually deemed as “safer.” However, all cryptocurrencies are likely to trade lower in absolute terms when risk assets are undergoing a correction, noting that correlations tend to go up when markets go down. Nevertheless, a bullish long-term outlook suggests that Q1 volatility may present an opportunity to add exposure with a more favorable risk/reward profile, ideally waiting for the intermediate-term indicators to turn up again.

Bitcoin vs. Ether - weekly - chart

Note: The views expressed in this column are those of the author and do not necessarily reflect those of CoinDesk, Inc. or its owners and affiliates.

Katie Stockton, CMT is Founder and Managing Partner of Fairlead Strategies, LLC, an independent research firm and investment advisor focused on technical analysis. Fairlead Strategies provides technical coverage of equities, Treasuries, commodities, cryptocurrencies, and more. With help from the Fairlead Strategies team, Katie provides research and consulting services to institutions, investment advisors, and individuals. She is also the portfolio manager for the award-winning Fairlead Tactical Sector ETF (TACK), launched in March 2022.
Prior to forming Fairlead Strategies in 2018, Katie spent more than 20 years on Wall Street providing technical research and advice to institutional investors. She served as Chief Technical Strategist for BTIG and Chief Market Technician at MKM Partners, and she has worked for technical strategy teams at Morgan Stanley and Wit Soundview.
Katie holds the distinction of being the youngest female to have attained the Chartered Market Technician (CMT®) designation in 2001. She has played a significant role in the CMT Association, serving as Vice President from 2012 to 2016.
Katie graduated with honors from the University of Richmond and has spent several years on the business school’s Executive Advisory Council. She sits on the Board of Directors for Cary Street Partners, a leading independent wealth management firm. She also contributes to her community by mentoring young women, guest lecturing at universities, and serving on her church’s Endowment Investment Committee.
As an official CNBC contributor, Katie frequently shares her market perspectives with investors worldwide. She is quoted often by financial news publications like Barron’s and MarketWatch and she has a wide following on social media.

Picture of CoinDesk author Katie Stockton


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