The Long-term Value of BounceBit ($BB ) — Why Institutional Investors Continue to Bet?

BounceBit ($BB ), with its dual-token PoS mechanism and integration capabilities within the Bitcoin ecosystem, has become a key target for institutional investors in the crypto market. Its long-term value is highlighted in the following dimensions:

1. Institutional-level Asset Integration

Collaboration with traditional financial giants like BlackRock BUIDL to launch RWA+CeDeFi structured products (such as an annualized 24% BTC basis arbitrage strategy), combining U.S. Treasury yields with crypto arbitrage, attracting institutional funds. Its TVL has surpassed $1 billion, validating the feasibility of the business model.

2. Scarcity in the Bitcoin Ecosystem

As the first native BTC re-staking chain, $BB activates the financial attributes of Bitcoin through a dual-token system (BB+BBTC), addressing the yield demand of $850 billion in idle BTC and filling a market gap. Institutions are optimistic about its “CeFi+DeFi” hybrid architecture's long-term potential to enhance BTC liquidity.

3. Token Economics and Compliance Advantages

35% of the $BB supply is allocated for staking rewards, released linearly over 10 years to ensure network security; at the same time, compliant custody solutions like Ceffu reduce regulatory risks and meet institutional demands for asset safety.

Future Outlook: With the launch of the BB Prime platform and the expansion of RWA products, $BB may become a core hub connecting traditional finance and the crypto market, with institutional holdings expected to continue rising. @BounceBit #BounceBitPrime