🧠 Today’s Deep Dive:
We break down Michael Saylor’s newest multi-billion-dollar Bitcoin accumulation — over 8,000 BTC added while the entire market is in fear mode, ETFs are bleeding more than $1.1B, and Bitcoin is battling one of its heaviest corrections of the year.
In this episode, we explore why Saylor buys when everyone else panics, how Strategy has engineered one of the most aggressive BTC treasury strategies ever attempted by a public company, what this move signals to institutions, and what it means for Bitcoin’s long-term future.
This is a neutral-to-heroic analysis of Saylor’s philosophy, the mechanics of his mega-purchase, and the broader tension between institutional fear and long-term conviction.
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