$Strategy(MSTR)$ 's current downward pressure stems from predictable portfolio rebalancing activities and cyclical capital rotations. When these transitional phases conclude, the asset may demonstrate its fundamental strengths. Maintaining constructive perspective helps navigate temporary volatility.
$Strategy(MSTR)$ The mega NAV resurgence is brewing. With digital asset valuation climbing and hashpower redistribution creating supply constraints, exchanges may soon face liquidity pressures. Valuation models incorporating updated NAV premiums suggest intriguing possibilities for MSTR.
$Strategy(MSTR)$ Wasn't $MSCI Inc(MSCI)$ the one that took a government bailout in 2008 after losing billions, triggering the housing bubble collapse and creating the largest financial crisis in history?