History tends to repeat in international affairs. The geopolitical playbook deployed in Venezuela could very well be applied to Iran, with significant ripple effects across global markets. When capital controls and economic pressure intensify, alternative stores of value become increasingly attractive. This macro backdrop suggests positioning long exposure strategically—whether through major assets or strategic accumulation phases. Investors tracking geopolitical risk premiums might see this as a window to reassess their portfolio hedging through digital assets.

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