Unorthodox idea — what if, the most volatile asset (Bitcoin) were actually the LEAST risky, but in short teem there is greater noise, and down swings?
–> what else is the strategy? Invest in big tech companies –> all are bad bets, ironically enough Bitcoin and perhaps now MSTR are the only decisions?
–> 10% of your capital in MSTR (2x performance of Bitcoin but also greater volatility and downside). 90% of your own personal treasury in Bitcoin, which is actually not risky — just volatile?