Crypto Markets Under August Selling Pressure: Liquidity Contraction in Digital Assets
Global dijital varlık piyasaları, 10-14 Ağustos 2026 tarihlerini kapsayan beş günlük işlem haftasında yatırımcıların risk iştahındaki azalma sonucu se

Global digital asset markets were shaken by a severe sell-off wave during the five-day trading period covering August 10-14, 2026, driven by a decline in investor risk appetite. The prevailing negative course across the market deepened value losses in major crypto assets, while fluctuations in trading volumes pushed volatility indices higher.
The August Storm and Market Dynamics
Developments within the specified date range gave strong signals that market participants were shifting their liquidity preferences. The fact that the selling pressure was not limited to marginal assets but spread across the entire market was recorded as a noteworthy development.
Risk Premia and Future Projections
This sharp correction movement once again brought to the fore the impact of macroeconomic uncertainties on crypto currency markets. The fragility of the market structure during such periods, combined with regulation expectations, created an extra weight on pricings.
The tightening cycle in Central Bank policies and the rise in commercial credit costs are restricting capital flows to risky asset classes. This sell-off wave in the crypto market is actually a reflection of the decline in global liquidity conditions. There is a strong correlation between the contraction in commercial loans we observe in the banking sector and the outflows in digital assets; as investors return to cash and equivalents, the rise in borrowing costs accelerates this exit.
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