Bitcoin Raw Data Report — Key market metrics and indicators.
The data sources include CoinGlass,
CryptoQuant, and Kingfisher (paid version).
Day: 27 Mar 2026
Price: ~66,579
RSI (1D): ~48.5
RSI (4H): ~34.2
EMA50: ~72,300
EMA200: ~86,700
Funding Rate: ~-0.0042
Funding Bias: Short Bias / Negative Funding
Open Interest: ~109.50B USD
Open Interest Change (Intraday): Increase (New Short Positions / Build-up)
Long Liquidations: High (Flush below 68K → 66K)
Short Liquidations: Very Low (No squeeze yet)
Taker Buy/Sell Ratio: ~0.972
Taker Buy Ratio: ~0.486
Taker Sell Ratio: ~0.514
Spot CVD: Clear Sell Pressure
Spot Taker Buy Volume: ~3.85B
Spot Taker Sell Volume: ~4.30B
BTC Futures Volume (24h): ~58.20B
BTC Spot Volume (24h): ~3.85B
Exchange Reserve: ~2.43M BTC
Exchange Reserve Change: Decrease
Exchange Inflow (Total): ~8.20K BTC
Exchange Outflow (Total): ~12.60K BTC
Exchange Netflow: ~-4.40K BTC
Exchange Flow Bias: Outflow (Bullish mid-term)
Top10 Whale Inflow: ~310 BTC
Top10 Whale Outflow: ~720 BTC
Exchange Depositing Transactions: ~21.80K
Exchange Withdrawing Transactions: ~4.50K
Estimated Leverage Ratio: ~0.235
SOPR: ~0.99
Short Term Holder SOPR: ~0.95
Long Term Holder SOPR: ~1.18
Adjusted SOPR (aSOPR): ~1.00
MVRV Ratio: ~1.20
MVRV Z-Score: ~0.1 – 0.3
Realized Price: ~54.50K
Active Addresses: ~31.90K
Active Sending Addresses: ~17.80K
Active Receiving Addresses: ~20.60K
ETF Net Flow: -65.00M
ETF Weekly Flow: +150.00M
ETF Monthly Flow: -180.00M
ETF 3M Flow: -210.00M
Bitcoin Market Cap: ~1.31T
24h Change: ~-4.80%
7D Change: ~-6.90%
Long vs Short Ratio (Aggregated):
1H: Long 49.20% / Short 50.80%
4H: Long 44.10% / Short 55.90%
12H: Long 38.70% / Short 61.30%
24H: Long 47.80% / Short 52.20%
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Options Data:
Call OI: ~52.10%
Put OI: ~47.90%
Options Bias: Neutral / Slight Bullish
Options Volume (24h):
Calls: ~39.00%
Puts: ~61.00%
Volume Bias: Bearish (Hedging / Downside protection)
Max Pain Zone: 70,000
GEX (Gamma Exposure):
High Gamma Zone: 69K – 72K
Market State: Negative Gamma (High Volatility / Squeeze Risk)
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Liquidity Zones (From Heatmap + LiqMap):
Major Liquidity Range: 64K – 72K
Upper Liquidity:
68K
70K
71.5K
Local Liquidity:
67K – 68K
Lower Liquidity:
66K
64K
62K
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Support & Resistance:
Major Support: 66K
Supports:
66K
64K
62K
Resistances:
68K
70K
72K
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Orderbook Analysis:
Spot Orderbook:
Bids concentrated 66K – 67K
Thin liquidity below 65K
Futures Orderbook:
Heavy asks 69K – 71K
Liquidity wall near 70K
Orderbook Pressure:
Sell pressure above 68K
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Orderflow (Kingfisher + Toxic Flow):
Toxic Selling: Declining
Toxic Buying: Weak but emerging
Aggressive Orders:
Seller exhaustion near 66K
Large Trades:
Absorption at lows
Conclusion:
Smart money absorbing after liquidation flush
--------------------------------------------------
Liquidation Map:
Short Liquidation Cluster:
68K
70K
72K
Long Liquidation Cluster:
66K
64K
62K
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Funding + OI Combined Insight:
Negative Funding → Shorts crowded
OI increasing → New positions opening (Mostly Shorts)
Market condition:
High probability of short squeeze setup
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Volume Structure:
Futures volume dominant
Spot volume weak
Conclusion:
Market driven by derivatives (Not spot-led)
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Macro Context:
DXY: ~100.10 (+0.35%)
Nasdaq: Flat / Slight Weakness
S&P 500: Neutral
Gold: Slightly down
Stablecoin Market Cap: ~314B
Macro Bias:
Neutral to Slightly Bearish
--------------------------------------------------
COT Positioning:
Asset Managers: Neutral / Slight Long Reduction
Leveraged Funds: Net Short Bias
--------------------------------------------------
Trend:
Short-Term: Bearish → Potential Squeeze Setup
Mid-Term: Range (64K – 72K)
Long-Term: Bullish
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