TWO SIDES OF A REVENUE-FUNDED PROGRAM ⚙️

WINkLink’s buyback update connects quarterly purchases with revenue from oracle services.

That creates two related areas to follow: the performance of the service generating revenue and the execution of the program using it.

A fuller view would connect:
• The revenue period covered.
• The amount allocated to buybacks.
• When that allocation was executed.
• The records documenting the purchases.

This matters because revenue generation and buyback execution may occur at different times. Clear reporting helps explain how one period’s activity connects with a later transaction.

It also gives context to changes in the size of each round. Those changes become easier to understand when the funding and allocation information are available alongside execution data.

For the WIN community, the opportunity is to follow the complete economic relationship—from oracle services to documented purchases.

That makes the program a useful lens for understanding how ecosystem activity supports its stated commitments over time.

@WINkLink_Official @Justin Sun孙宇晨
#TRONEcoStar $WIN