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    3. Lite Strategy Sells Litecoin to Buy Back Its Own Shares! What’s the Balance Between LTC and Stocks?

    Lite Strategy Sells Litecoin to Buy Back Its Own Shares! What’s the Balance Between LTC and Stocks?

    By: rootdata|2026/08/03 10:09:17
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    Lite Strategy has repurchased 4.9 million shares for $5.4 million (approximately 830 million yen). The funds for this came from the asset management of Litecoin (LTC) and premium income from a covered call option strategy (which involves selling call options backed by the stocks held).

    According to the company, this buyback represents about 13% of the outstanding shares. The average price was $1.11 per share. After the transaction, Lite Strategy confirmed that it holds 819,070 LTC against 31,882,648 outstanding shares.

    The way the funds for this buyback were generated is quite interesting. According to Lite Strategy, this funding came from asset management, with 11.87% from the sale of Litecoin and 1.13% from covered call premium income. The goal seems to be to increase the backing asset (value) of Litecoin per remaining common share.

    This is a small but good example of how companies holding cryptocurrencies are trying to manage not just the overall amount held but also the exposure per share (the degree of market impact and risk).

    Initially, the strategy for companies holding cryptocurrencies was simple: just buy assets, hold them, and promote that fact. This approach became popular with Bitcoin but has now spread to other coins and corporate structures. Companies are experimenting with asset management strategies using various coins like Ethereum, Solana, Litecoin, and Dogecoin, often trying to create publicly tradable vehicles that leverage specific cryptocurrencies (allowing for large trades with minimal capital).

    However, when a company accumulates a large amount of cryptocurrency, more complex issues arise.

    How do you manage the assets?
    How do you increase the asset exposure per share?
    How do you prevent dilution?
    What about the company’s operating funds?
    How do you respond to price volatility?
    How do you return value to shareholders?

    Lite Strategy's recent buyback is precisely positioned in this "second phase." It’s not just about increasing Litecoin holdings. They are using asset management tools to reduce the number of shares and increase the backing of LTC per remaining share.

    For asset management companies, looking only at the total holdings can lead to misunderstandings. Even if a company holds a large amount of cryptocurrency, if the number of shares increases too much, the exposure per share may become smaller than investors expect. Therefore, the "asset backing per share" becomes very important.

    If Lite Strategy holds 819,070 LTC and reduces the number of outstanding shares, as long as the total asset value does not decrease beyond the benefits of share reduction, the proportion of Litecoin assets per remaining share will increase. This is the logic behind the buyback.

    Regular companies also return funds to shareholders through buybacks or improve per-share metrics (like EPS or BPS). Companies holding cryptocurrencies can use the same approach, but the added complexity of volatile digital assets comes into play.

    The value of this strategy depends on execution. If a company sells LTC at too low a price, the value of its holdings may diminish. If the buyback occurs at a price lower than its intrinsic value, shareholders may benefit. If covered call premium income generates profits without significantly sacrificing upside potential, this strategy could be beneficial. However, poor management of options trading could lead to adverse outcomes.

    The premium income from covered calls shows that the company is not just passively holding assets, which is particularly interesting. A covered call involves selling call options (the right to buy) backed by the assets held. The seller can earn premium income, but if the option is exercised, they must forgo any upside above the strike price.

    For companies holding cryptocurrencies, generating cash flow from volatile assets comes with trade-offs. If Litecoin surges, covered calls may cap the upside. If Litecoin remains flat or declines, the premium can cushion the portfolio. This strategy is not inherently good or bad; it depends on market conditions, the choice of strike price, position size, and risk management.

    Lite Strategy’s use of covered call premiums suggests they are trying to make LTC holdings "more productive." This indicates a more sophisticated approach than merely accumulating coins.

    The aspect of selling Litecoin is a more delicate matter. If management believes that the stock price is undervalued relative to the backing of the cryptocurrency, it may make sense to sell part of the asset for a buyback. This way, even if the total LTC balance decreases, reducing the number of shares could improve exposure per share.

    However, investors will be watching closely. A company holding Litecoin appears attractive because investors believe management will maintain or increase exposure to Litecoin. If sales become too frequent, investors may question whether the asset management strategy is becoming diluted.

    The company’s stated goal is to increase the backing of Litecoin per remaining share. This is indeed the correct metric to monitor. If LTC per share is increasing, the strategy is working. If it is decreasing, the appeal of this buyback narrative diminishes.

    Lite Strategy’s recent move may not be a monumental event for the market, but it indicates a broader trend. Companies holding cryptocurrencies will increasingly be evaluated not just on the amount they hold but also on their capital allocation. Buying coins is easy, but managing a publicly traded company around those coins is much more challenging.

    Investors will want to know whether management can effectively handle buybacks, options trading, fundraising, dilution, custody, taxes, volatility, and information disclosure. Thus, these strategies will become not just "ticker-level cryptocurrency exposure" but "real business."

    For Litecoin, Lite Strategy’s buyback represents a new example of a company trying to transform digital asset holdings into a "per-share value strategy." The concept is simple; the challenge lies in "how to execute it."

    -- Price

    --

    This content is provided for general informational purposes only and doesn't constitute financial, investment, legal, or tax advice. Any events, rewards, online promotions, or related information mentioned herein should not be considered a recommendation, solicitation, or invitation to purchase, sell, trade, or otherwise deal in any crypto assets. Crypto assets are highly volatile and may result in loss. The availability of WEEX services, products, and related events may vary by region. You are responsible for ensuring that your participation is in accordance with applicable local laws and regulations.

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