BitMine’s growing Ether holdings are reshaping how investors assess the company’s balance sheet, risk exposure and equity valuation.
Large market participants are steadily reducing exposure, creating sustained selling pressure across Bitcoin, Ether and XRP.
Global macro tightening, including Bank of Japan rate-hike expectations and muted reactions to Fed cuts, is weighing on risk appetite.
Buyer demand is weakening, with slower treasury accumulation and fewer aggressive dip buyers than in past cycles.
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