New FASB accounting rules force unrealized crypto losses through net income, revealing structural flaws in corporate Bitcoin holdings as $62B evaporates.
BitMine Immersion Technologies files for $300M preferred stock offering to acquire Ethereum and expand staking infrastructure, mirroring Strategy's model but leveraging ETH staking yields.
Strong May jobs report pushes odds of Fed rate hike to 70%, sending Treasury yields higher and weighing on stocks.
Corporate Bitcoin holdings suffer $62B loss. MicroStrategy, Tesla, Marathon Digital lead decline. Structural flaws exposed as fair-value accounting hits earnings.
BitMine chairman Thomas Lee argues ETH staking yields can fund ecosystem grants, turning treasuries into governance flywheels.
Dimming Fed rate cut expectations amid sticky inflation and geopolitical uncertainty are reshaping Treasury yields, dollar, gold, and crypto markets.
Strategy sells Bitcoin for the first time since 2022, while Bitmine accelerates ETH purchases. A tale of two treasury strategies amid record stock markets.
Nasdaq warns a bitcoin treasury firm of delisting as BSTR co-founder says many companies lack strategy, pushing investors toward ETFs.
A pilot involving Ripple, JPMorgan, Mastercard, and Ondo Finance processed a tokenized US Treasury redemption in under five seconds, signaling a shift toward institutional blockchain adoption.
Strategy's STRC perpetual preferred stock is transforming Bitcoin treasury funding, offering double-digit yields and $17.5B in remaining capacity amid market shifts.
AT&T's cryptic tweet about strategy sparks speculation on corporate crypto adoption, with market implications and regulatory angles explored.
The 2-year Treasury yield steady at 4.057% signals market caution amid mixed earnings and economic data. Analysis of impact on stocks and bonds.
SharpLink and Forward Industries join Russell indexes, marking first non-BTC crypto treasury inclusion. Passive funds must buy, creating forced demand for ETH-linked equities.
The 30-year Treasury yield reached its highest since 2007, driven by oil above $100 and geopolitical tensions, impacting equity markets.
Iran's Supreme Leader orders enriched uranium kept in-country, complicating U.S. talks. European stocks swing as oil and bonds react. SpaceX IPO buzz adds to volatility.
10-year yield falls from highs as crude prices slip, while Fed minutes show majority of officials favor rate hikes if Iran war fuels inflation.
Google selects CNBC as a preferred news source amid market volatility. Analysis of impact on treasury yields, European stocks, and investor behavior.
Iran's supreme leader orders enriched uranium kept domestically, complicating peace talks and impacting oil, bonds, and currencies.
30-year yield falls on political risk repricing; 2-year rises on Fed rate expectations as oil prices retreat.
Senate advances resolution to halt Iran military action as Treasury yields spike and S&P 500 falls. Oil prices drop on hopes of negotiations.