#USStablecoinBill Stable macroeconomic indicators combined with hopes for easing tensions supported demand for risky assets. However, traders are still closely monitoring geopolitical statements, especially in the context of relations between the USA and China. Despite the positive dynamics, instability in geopolitics can quickly change investor sentiment. Against the backdrop of macroeconomic volatility, individual companies continue to focus on long-term trends in digital assets. Strategy, despite a record loss in the 1st quarter, doubled its capital raising target to $84 billion. The reason was the implementation of new accounting rules using the mark-to-market method, which affected the revaluation of crypto assets.

Nevertheless, the management of Strategy demonstrates confidence in the prospects of its investment strategy based on Bitcoin. Interest in the digital coin is also increasing from ETF investors. The continuation of net inflows into spot ETFs indicates that institutions view the 1st cryptocurrency as an element of strategic diversification!