Vic
· 54w
The NAV premium reduction is the biggest negative investors face vs native BTC or an ETF. Most of the other negatives are weak
Oddly, one of the biggest drivers of NAV closer to 1 could be a sustained rapid rise in BTC, say to $1m - which might hugely constrain their ability to generate as much btc yield relative to the btc they hold. However in that case, shareholders would probably still sleep at night!
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