Over 6 month period the circulating supply increasing over 3x. That is A lot
and with this new pivot away from arbitrage to staking, I don't see the APY being high enough in the beginning to incentivize early investors to continue to hold after unlock. If you had likely 200x+ on your hands that you been waiting for years, what would you do?
If it's a long term hold for you then likely doesn't matter but I likely see pump right before mainnet launch (Q4 they say) and then 6 months of selling pressure.
There's better plays one could make elsewhere then buy back in after all the dumping is done
ok I agree overall…I have a large holding as a “starter” just in case it doesn’t play out that way and it runs…but if it doesn’t and we hit a bear and there is a price dump then I’m going IN




DYOR and get another bag that works for you if that ain’t ya style

almost that time to get my weekly bag

we gon find out, im tired of this bullshyt suspicious activity excuse...