I came across a story that MicroStrategy has experienced a monthly decline for eight consecutive months. Meanwhile, Silvergate's dividend yield has risen to 11.5%. The market's assessment seems to be divided.



What I find concerning in such situations is the movement of basis points. A significant change in dividend yield indicates that the balance between stock price and dividends is quite off. Silvergate might be in that adjustment phase.

On the other hand, MicroStrategy continuing to decline for eight months in a row is unusual. Is there some structural problem, or is it just the overall market trend? When looking at it in basis points, there are likely quite detailed fluctuations accumulating, making short-term judgment difficult.
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