BTC at 69403 down 2.88% while institutional treasury demand from Saylor's playbook stays locked in—this is the asymmetric risk/reward setup: retail panic sells into forced liquidations, but the bid from corporate treasuries doesn't break. I'm holding my spot position and adding 0.5 BTC on any dip below 67500 because the downside risk is capped by institutional bid support while upside runs to 75k when macro jitters fade.
Satoshi Decoder
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