đ Bitcoin Last 3 Months (Nov 2025 â Feb 2026)
According to price data, BTC has declined about â35% in the last 3 months, reflecting bearish market pressure.
Monthly Snapshot (approx):
đ Nov 2025: Market started strong near higher prices â small loss as trend weakened
đ Dec 2025: Continued downtrend and volatility hit BTC
đ JanâFeb 2026: Sideways to slightly lower range with lower liquidity & mixed sentiment
Key Reason: Macro volatility, profit-taking, and weaker retail demand pushed BTC lower recently.
đ Next 3 Months Outlook (Mar â May 2026)
Analyst forecasts vary widely:
Bullish signals:
âą Some institutional analysts see BTC entering a âslow bullâ phase with steady gains if ETF inflows continue.
âą Technical models show BTC could reclaim higher levels with strong buying pressure.
Bearish signals:
âą Others warn BTC may test lower ranges near macro pressure (~$50kâ$60k).
Expected range: BTC may trade between $60,000â$90,000+ over the next 3 months, depending on sentiment and macro catalysts.
đ§ BTC Strategy: Next 3 Months
Monitor key support zones: especially around $60kâ$65k â ideal accumulation areas.
Use DCA instead of one-time buys to reduce risk in volatile dips.
Take partial profits near strong resistance levels.
Follow Bitcoin trend: if BTC breaks above resistance with volume, increase allocation.
Protect capital: use stop-loss or mental exits below strong support.
Watch macro news: rate decisions, ETF flows, inflation data impact BTC price.
Rebalance monthly: lock gains or reduce exposure after strong up moves.
Avoid leverage â volatility remains high.
Focus on strong coins: BTC and ETH first before altcoins.
Be patient: BTC structure changes slowly â avoid emotional trades.
đ Profit/Loss Expectations Bridge (Illustrative)
Month Potential Outcome Notes
Mar 2026 đ Small upside or sideways BTC consolidates after recent drop
Apr 2026 đ Possible bounce If macro improves & ETF inflows rise
May 2026 đ Range breakout possible Either bullish continuation or deeper correction
đ§ Key Takeaway
Even though BTC recently experienced a downtrend, the market now sits at a critical decision zone â gains can resume if institutional demand and macro catalysts align, but volatility remains high in the short term.


