Strategy Builds $4.8 Billion Cash Reserve as Saylor Rules Out Share Buybacks
Strategy, **$4.8 milyar** nakit rezervi oluştururken, hisse geri alımlarını öncelik listesine almamayı tercih etti. ## Stratejik Nakit Birikiminin Ar

Strategy is amassing a $4.8 billion cash reserve while deliberately pushing share buybacks off its priority list.
The Rationale Behind the Cash Hoard
Executive Chairman Michael Saylor emphasized that preserving capital in a volatile market is paramount. The firm positions the reserve as a buffer to fuel growth in its STRC token and credit business, rather than chasing short‑term equity returns.
Saylor’s Stance on Share Repurchases
Saylor made clear that repurchasing stock would clash with the company’s long‑term objectives. "Our cash pile is a strategic tool to seize opportunities and mitigate risk," he said, underscoring a focus on credit and liquidity over dividends or buybacks.
Market Reaction & Liquidity Dynamics
Takeaways for Long‑Term Investors
Emre Can – Prioritizing a sizable cash reserve is a classic capital‑preservation play in today’s macro environment. While it may curb short‑term equity performance, it lays a solid foundation for sustainable growth in the credit and token ecosystems. This liquidity‑first approach could become a benchmark for peers navigating a low‑interest-rate landscape.
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