Don't just focus on the ups and downs of spot prices; BB is changing 'holding coins for appreciation' to 'assets working around the clock.' Let’s start with the key point: the stability of CeFi and the flexibility of DeFi are integrated into a controllable risk management system.

BB uses a CeDeFi framework for BTC re-staking: custody-side isolation and asset proof, on-chain contracts allocate funds to lending, LP, node yields, structured interest, and other engines; rebalancing and stop-loss thresholds are written into the protocol, and the income certificates can be used as collateral and for secondary liquidity, forming a closed loop of 'income → collateral → re-income.' Cross-chain interfaces direct BTC liquidity to the mainstream EVM ecosystem, reducing the cost of strategy switching.

As ETFs and institutions amplify the BTC supply, income generation and capital efficiency are the main lines. BB's path is 'safe and transparent + composable strategies + low friction circulation,' suitable for long-term cash flow main accounts, rather than one-time activity platforms. #Bouncebitprime @BounceBit $BB