Brilliant and thanks for your candor.

My background is debt markets and international finance.

I sense a massive dislocation brewing in 2H 2025 for “western” sov debt markets.

Requiring central bank intervention on a scale not even seen during Covid.

Massively inflationary (with a slight lag) by early 2026.

Gold and Bitcoin will springboard to previously unimaginable levels. And if Bitcoin manages to stay decentralised and secure, it likely de-monetises gold (and sov debt) by 2029-2033.

Faster than even most “maxis” are expecting.

Just my 2 cents. 😉

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