Dantes Outlook Market Podcast
Crypto and Gold in a Multi-Asset Framework
Episode Summary
In this special year-end episode, Damanick Dantes, CMT breaks down Dantes Outlook’s latest crypto research and what it means for multi-asset portfolios. Drawing on market data, on-chain insights from Glassnode, internal models, and academic research, the episode explores why crypto lagged in an otherwise strong year for investors — and how the firm's dynamic Bitcoin/Gold rotation strategy helped manage risk.
Episode Notes
Episode Highlights:
- Why 2025 delivered strong returns across most asset classes — except crypto
- Bitcoin and Ethereum’s negative YTD performance in context
- Key technical breakdowns in Bitcoin using weekly and monthly trend models
- The erosion of the “digital gold” narrative and rising equity correlations
- Why extreme fear isn’t enough to signal a bottom
- Macro regime insights: inflation vs. growth sensitivity in Bitcoin
- Gold’s resilience and role as a portfolio stabilizer
- How Dantes Outlook’s Bitcoin/Gold rotation strategy navigated the year
Research & Data Sources:
- Market and on-chain data from Glassnode
- Internal quantitative models from Dantes Outlook
- Academic research on asset behavior across macro regimes
Happy holidays from Dantes Outlook!
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