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Selling 32 Bitcoin highlighted a few key signals:
✅ “Buying Bonds” messaging backfired
✅ Selling any BTC allocation looks like a strategic mistake
✅ Reducing dividend coverage to 6 months weakened confidence
✅ Promotional posts about STRC peg stability did not help perception
✅ Probability of S&P 500 inclusion: effectively 0%
The takeaway: market credibility is fragile, and capital decisions get judged fast.
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