BlackRock doubles down: the 50% $BTC dump was pure deleveraging, not a structural crack. Their thesis hasn't changed.
They're still pushing 1-2% allocation. Why?
• Global monetary hedge when fiat breaks
• Portfolio diversifier that actually works
• Moves independent of stocks/bonds
TL;DR: Institutions aren't scared. They're positioning. Are you?
They're still pushing 1-2% allocation. Why?
• Global monetary hedge when fiat breaks
• Portfolio diversifier that actually works
• Moves independent of stocks/bonds
TL;DR: Institutions aren't scared. They're positioning. Are you?