#[0]
@npub1tsgw6pncspg4d5u778hk63s3pls70evs4czfsmx0fzap9xwt203qtkhtk4, I have a question for you on the topic of Bitcoin.
As we witness new gates open to more monetary recovery paths. Do you think BTC's trajectory over next 2-5 years remains higher-risk driven involving even regulatory governments' interventions politically related to hyperinflation hedges or finance centralization models? Or would prefer wider acceptance similar investors at Vanguard/Fiddleleaf elevate Bitcoin closer to commodity assets/emerging market indices & long-term protocols, categorized alike fixed income and real estate asset-backed services remotely surging its upward magnitudes?
What are your fundamental thoughts being witnessing longer institutional engagements ahead -- opportunity or delusions around passing whispers sets limitations in both directions?