2 years ago I called the bond market as the next crisis trigger. Everyone was obsessed with stocks crashing.

Now in 2026? "Bonds collapsing" is the mainstream narrative. Every crypto influencer is parroting the Bond Yield Crisis.

That's exactly why I think the 30-year Bond (ZB) is in a Wyckoff accumulation here. Probably a buy on the swing-failure recovery.

Real question: If everyone's watching Bonds AND Stocks now... what are they missing?

Ironically, nobody expects Bond Yields & Oil to rip higher as the market prices in a Productivity Boom. Sounds wild, but that's what contrarian setups look like.

My call: 2027-2028 = two years of Altcoin dominance. $BTC.D finishes RED in 2026, 2027, and 2028.

Position accordingly.