QXMP DOES NOT NEED BONDS TO COLLAPSE This may be the most important point. @QXMP_Labs doesnโ€™t require a sovereign-debt crisis. It only requires institutions to conclude: โ€œPerhaps 100% concentration in someone elseโ€™s debt isnโ€™t the only answer.โ€ A modest diversification trend toward hard assets would be enough to dramatically expand the addressable market.

Sep 23, 2026 ยท 10:47 AM UTC

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This is an important distinction. ๐Ÿ”ฅ @QXMP_Labs doesnโ€™t need a bond-market collapse to make the RWA thesis interesting. The opportunity is in diversification, hard assets and new forms of institutional collateral. Itโ€™s about expanding the financial toolkit๐Ÿš€
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And hey, who know what kind of innovative solutions would pop up if more folks held tangible investmentsd".
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An watching out
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Fair take on this
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institutional diversification is the ultimate alpha play
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Solid framing โ€” most of the market still treats a debt crisis as the only catalyst, when a quiet rotation out of concentrated sovereign paper into hard-asset rails would already move the needle for something like QXMP.
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This is the cleaner pitch
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Thatโ€™s a much more realistic thesis tbh
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Thatโ€™s a fair take. Institutions shifting even a little into hard assets is already a huge market.
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Couldnโ€™t agree more with you ser
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Very important point , it doesnโ€™t require that debt crisis And it definitely does not need bonds to collapse
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That alone could unlock a massive market.
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exactly. the thesis isnโ€™t โ€œbonds collapseโ€ itโ€™s that institutions slowly realizing concentration risk exists could be enough to unlock a massive shift into hard assets
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diversification alone could be enough
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This is a good analysis
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Thatโ€™s a much more realistic thesis tbh
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Interesting point Even a small move toward hard assets could shift the bigger picture
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Iโ€™m watching out
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I think so too
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Absolutely.. pay full attention here
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Institutions donโ€™t need a crisis to rethink diversification. Even a small shift toward hard assets could change the game for QXMP.
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