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Crypto market suffers turmoil: massive sell-off triggers fluctuations in positions

2026-09-24 03:14:39
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Crypto market suffers turmoil: Large-scale selling triggers volatility in positions

Recently, the cryptocurrency sector has experienced significant turmoil due to a sharp local correction, which poses a serious challenge to investors and their strategies. A distinctive feature of this selling wave is the extremely high leverage in futures trading, which accelerates the process of forced liquidations. In short-term market fluctuations, the liquidation volume of long positions far exceeds that of short positions, with a ratio of more than 30 times.

Why did long positions suffer devastating liquidation?

data shows that the total liquidation amount in the past 24 hours reached US$504.62 million, of which long positions accounted for US$359.45 million. In comparison, the liquidation of short positions was only $145.16 million. It is worth noting that a total of 119,934 investors faced forced liquidations. As a well-known platform for tracking clearing and position data in the derivatives market, relevant data reveals dramatic changes in market sentiment.

Will price pressure continue?

According to the analysis of the biggest pain points in monthly crypto asset liquidation, the sell-off may not be over yet. Key liquidity clusters (which act as market gravity factors) are located below current prices. For Bitcoin, the most concentrated area of long positions is around US$79,780, with a potential liquidation amount of US$118.83 million; while short positions are concentrated at US$87,318, with an amount of US$87.05 million.

在回调最后的一小时内,多头头寸清算金额高达2.3024亿美元,而空头仅为731万美元,小时级别的失衡比例令人瞩目,达到惊人的3,049%。具体到个别资产,以太坊经历了4,916万美元的清算,比特币则有3,777万美元的杠杆头寸被清仓。包括XRP在内的主流山寨币也未能幸免,其多头清算金额触及768万美元。

  • 过去24小时清算总额5.0462亿美元,其中多头3.5945亿美元,空头1.4516亿美元。
  • 比特币多头集中位在79,780美元,可能涉及1.1883亿美元的仓位清算。
  • 以太坊多头集中位在2,344美元,涉及5,985万美元的潜在清算。
  • XRP多头关注点在1.4789美元,包含1,153万美元的清算额。
  • 空头头寸聚集在更高的阈值区间,反映出市场情绪的转变。

全球市场联动效应

近期的全球市场活动与加密资产的波动如出一辙。比特币下跌2.24%,报84,271美元,与此同时,标普500指数下跌0.54%,报7,722.44点。VIX指数上涨3.23%,追踪到市场波动性的加剧。股市以及黄金等传统避险资产(下跌1.66%,报4,285.90美元)均反映了这一撤资趋势。同时,流动性正重新导向布伦特原油等大宗商品,油价攀升至每桶101美元以上,涨幅为3.17%。

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