All right, I'll bite. So history says this is the best time to buy for the four-year cycle, and yet we've only had that one time (2014/15) to look back on, and mind you, this is the earliest you can count on data wide enough and distributed enough to have any confidence (any time before that and records were restricted to a handful of actual exchanges, P2P will likely be negligible in terms of that kind of volume).
Only accurate to say one previous such showing resulted in good accumulation buys. Even if we see a repeat this cycle, 2 occurences don't mean anything right?