STRC’s Low Volatility Surpasses Major Asset Classes
- STRC recorded a volatility of just 2% over the past month.
- In comparison, bitcoin showed a volatility of 50%, the highest among major assets.
- The STRC instrument offers an annual dividend yield of 11.5%, distributed monthly.
- Other asset volatilities included gold at 37% and QQQ, an ETF tracking the Nasdaq-100, at 19%.
- STRC’s structure adjusts dividends monthly to stabilize its price around $100 par value.
The STRC preferred equity instrument has been designed to minimize volatility through a unique dividend mechanism that adjusts payouts based on share price movements. This approach contrasts with traditional market assets like bitcoin, which exhibit higher volatility due to organic market factors.
With its low volatility and substantial dividend yield, STRC stands out in the current financial landscape as a stable investment option compared to more volatile assets like bitcoin. (Source)