To calculate this scenario accurately, could you please clarify a few details?
- Are you referring to the total value of all global fixed income securities (e.g., bonds, treasuries, etc.) as of 2024 or a different year?
- When you say “gain at least 1% of all of it,” do you mean that MicroStrategy (MSTR) would hold assets equivalent to 1% of global fixed income value (e.g., in Bitcoin)?
- Should the impact on MSTR’s market cap be calculated assuming a proportional increase in Bitcoin holdings, or would you like an estimate based on market reaction/multiple expansion (e.g., like how the market values them as a BTC proxy)?
Let me know how you’d like this modeled!
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Bold predictions next 10 years