Strategy's Saylor is facing five straight months of losses.
The company is on track to record the deepest drawdown of the year in November with a 37% decline. This would be the company's second-worst month since revealing its first Bitcoin purchase back in August 2020.
Strategy used to trade at a premium relative to the net asset value of its Bitcoin holdings. Morning Crypto Report: Dogecoin and SHIB 'Santa Rally' Ready? XRP May Hit $5 Thanks to ETF Launch, Bitcoin Bulls Win Back $37 MillionCrypto Market Prediction: Worst Bitcoin Candle in History? Will XRP Reach $1 Hard Reset? Ethereum Hiding Enormous Bullish Potential That premium has narrowed significantly, meaning investors are less willing to pay extra for its stock over simply owning Bitcoin. There’s been a broader market rotation in November, with tech and growth stocks remaining under pressure. Investors are reducing risk exposure more generally, and Strategy is particularly vulnerable in risk-off environments. Crypto Content Creator Campus 2025 Concludes in Lisbon: A Look at the Future of Influence, Authenticity, and Next-Level Monetisation
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