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Bitcoin's Power Law: Weak Structure, Strong Forecasts

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Bitcoin's price has been described as following a power law (PL) in time, $P \sim t^β$ with $\hatβ\approx 5.7$ over 2010-2026. We test this claim using the Clauset-Shalizi-Newman protocol applied to Bitcoin's tail-relevant distributional series, and develop three principled time-domain adaptations of the protocol. We find that (i) the distributional power law is rejected on UTXO balances and daily |returns|, with lognormal preferred decisively; (ii) the fitted time-domain exponent varies by nearly a factor of three across reasonable shifts of the time origin -- it is not specification-robust in the sense required for a shift-invariant structural reading; (iii) standard residual diagnostics and scale-invariance tests proposed in earlier work cannot distinguish a power law from a multi-component sigmoid stack fit to the same data; (iv) Bitcoin price stands apart in a cross-asset comparison spanning Bitcoin on-chain metrics and traditional asset classes: it is the only series in the nine-series in-sample test where no single-component growth curve improves on the power law, and the quarterly $K=3$ wave-stability bootstrap rejects the PL+AR(1) null on Bitcoin at $p = 0.015$ (strict 15% CV threshold) -- a clear cross-asset separation, although not a Bonferroni-robust rejection; and (v) walk-forward Diebold-Mariano evaluation against ten candidates -- including standard time-series baselines (RW with drift, auto-ARIMA, ETS, local-linear-trend) -- shows the in-sample winner (multi-sigmoid) is among the worst long-horizon forecasters, while the simple power law dominates 12-24 month horizons against every standard baseline at $p < 0.05$, precisely because it does not commit to specific wave shapes. The fit-prediction tradeoff is the practical counterpart of the descriptive findings.

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