Exit strategy and debt crisis

There are a lot of people that have been in the crypto space for multiple cycles saying that a crypto-investor should plan his/her exit strategy, so to re-enter the market with a better position in the next cycle.

A thought that came to me recently is: “exit to what?”. If we look at how things are today, with american debt skyrocketing, it is quite likely that the next major financial crisis/bear market would be trigger by sovereign debt crisis. In this scenario, wouldn’t be better to remain in the market for example holding Bitcoin or gold instead of exiting and convert to FIAT or stablecoins?

So what’s your exit strategy for this cycle?

submitted by /u/revyth
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