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Otto Cichonski u5H9
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#SaylorBTCPurchase June 9, 2025: Strategy acquired 1,045 BTC for approximately $110.2 million, at an average price of $105,426 per coin. This marked the ninth consecutive week of Bitcoin acquisition for the company. May 26, 2025: Strategy purchased an additional 4,020 BTC for $427.1 million, at an average price of $106,237 per bitcoin. Between June 9 and June 15, 2025: Strategy acquired 10,100 BTC for approximately $1.05 billion, at an average purchase price of $104,080 per bitcoin. This information was detailed in Strategy's 8-K filing with the US Securities and Exchange Commission (SEC). Early 2025: Strategy kicked off 2025 with a purchase of 1,070 BTC in late December 2024, announced on January 6, 2025, for about $101 million at an average price of roughly $94,004 per Bitcoin. Q1 2025: The company acquired a significant 80,715 BTC worth $7.66 billion during the first quarter.
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#IsraelIranConflict April 13-14, 2024: Iran launches an unprecedented direct missile and drone attack on Israel in retaliation. Most incoming fire is intercepted by Israel with U.S.-led international coalition support. April 19, 2024: A suspected Israeli strike hits an air defense system near an airport in Isfahan, Iran. July 31, 2024: Hamas political leader Ismail Haniyeh is assassinated in Tehran, and Hezbollah commander Fuad Shukr is assassinated in Lebanon, both in apparent Israeli airstrikes. October 1, 2024: Iran launches another series of missiles at Israel. October 26, 2024: Israel openly attacks Iran for the first time, striking air defense systems and missile program sites. Late 2024 - Early 2025: Tensions remained high, with continued covert actions, cyberattacks, and rhetoric. Israel claims Iran was accelerating efforts to weaponize enriched uranium and build more ballistic missiles, citing this as a reason for launching "Operation Rising Lion" in June 2025.
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#USNationalDebt Debt-to-GDP Ratio: This ratio compares the national debt to the country's Gross Domestic Product (GDP), indicating the nation's ability to pay off its debt. As of Q1 2025, the debt as a percentage of GDP was around 121%. A higher ratio generally suggests a greater challenge in repaying debt. Interest Payments: A significant and growing concern is the cost of servicing the debt. The government pays billions of dollars in interest each year. As of May 2025, it costs approximately $776 billion annually to maintain the debt, representing about 16% of total federal spending in fiscal year 2025. This cost is projected to rise, potentially exceeding $1 trillion before the decade is out and $1.8 trillion by 2035.
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#ScalpingStrategy Core Principles of Scalping: L Market Pullback: Definition and Strat... Small Profits, High Volume: Scalpers target tiny price differentials, often just a few pips (in forex) or cents (in stocks) per trade. They compensate for these small profits by executing a large number of trades. Short Holding Periods: Positions are held for an extremely short duration, from a few seconds to a few minutes. This minimizes exposure to market risk and large adverse price movements. Emphasis on Liquidity: Scalpers rely heavily on highly liquid markets to ensure quick entry and exit without significant price slippage. Major currency pairs, high-volume stocks, and popular cryptocurrencies are common choices. Tight Spreads: Low transaction costs are crucial for scalpers, as their profit margins per trade are thin. They look for instruments with narrow bid-ask spreads. Fast Execution: Speed is paramount. Scalpers often use direct market access (DMA) and low-latency trading platforms to execute trades as quickly as possible
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#MarketPullback Profit-taking: Traders who bought at lower prices may sell to lock in gains, causing a temporary dip. Market reaction to news: Short-term negative news or economic data releases can trigger temporary sell-offs. Technical resistance/support: Prices may pause or pull back when they reach strong technical resistance levels (in an uptrend) or bounce from support levels (in a downtrend). Overbought/oversold conditions: Technical indicators might signal that an asset is temporarily overbought (in an uptrend) or oversold (in a downtrend), leading to a correction. How to Identify a Market Pullback: Analyze the primary trend: Use tools like trend lines or moving averages to confirm the overall direction of the market or asset. Look for small candle bodies and mixed colors: During a pullback, candlestick patterns may show smaller bodies and a mix of bullish and bearish candles, indicating
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