BTC and ETH are in consolidation after the recent impulse move. Volumes are compressing, downside momentum is fading, and price is holding within a defined range. This is not capitulation . it’s market absorption.
Risk increases only with expanding sell volume, clean support breakdowns, and ETH underperforming BTC. None of those signals are present.
This is a pause for positioning, not a structural breakdown.
How are you positioning during low-volatility ranges?