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KanT Crypto
📊 JUST IN: Saylor Hints At More Bitcoin, But The Reality Is Sharper Now
"We're gonna need another color." Classic Saylor confidence, posted with a dashboard of Strategy's 843,775 BTC. But the numbers behind that swagger tell a harder story than the meme suggests.
📉 Where it stands:
Holdings: 843,775 BTC
Average cost: $75,653
Unrealized loss: about 14.8%, roughly $9.5 billion
Q2 digital asset loss: $8.32 billion, mostly unrealized
Here's what actually changed, and it matters. The "never sell" narrative is over. Strategy sold 3,588 BTC in early July for about $216 million, using the proceeds to fund preferred stock dividends and rebuild its dollar reserve. This followed a formal Bitcoin monetization program launched June 29 that lets the company sell up to $1.25 billion of BTC to cover obligations. A company built on the promise of relentless accumulation is now selling to pay its bills. That is a real shift, not a headline.
None of this means the long-term thesis is broken, and that's the honest takeaway. These losses are unrealized, the CFO says the reserve could cover net debt even if BTC fell 91%, and Strategy has still added coins across the cycle. The lesson worth borrowing is conviction and dollar-cost averaging over years, using capital you won't need tomorrow. The lesson to avoid is the leverage, the forced sales, and treating one confident tweet as a buy signal.
What to watch:
Whether Strategy keeps selling under the monetization program or resumes buying.
The health of its preferred stock and any pressure on MSTR shares, down 77% from the high.
A confident post from the biggest holder is not a catalyst. Respect the conviction, watch the balance sheet, because structure decides who survives a bear market.
Conviction that pays off, or a model meeting its limits?
Not financial advice. $BTC $ETH $SOL

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