
What is Steve's 5.3 Bitcoin theory about returns?
Could you please elaborate on Steve's 5.3 Bitcoin theory regarding potential returns? I'm curious to understand how he arrived at this specific number and what factors he considers in his analysis. Is this a prediction based on historical trends, market sentiment, or perhaps a combination of various metrics? How does this theory compare to other forecasts in the cryptocurrency space? Additionally, what implications does this theory have for investors looking to navigate the volatile world of Bitcoin and other digital assets?
