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The Bitcoin Layer
The Bitcoin Layer
244 episodes
10 hours ago
The Bitcoin Layer is a premium markets research provider, covering bitcoin through a global macro lens | Research, Analysis, & Education Featuring Nik Bhatia, author of the #1 Amazon bestseller Layered Money and USC Marshall School of Business professor. Subscribe to our research publication and YouTube channel to learn about global macroeconomics, bitcoin, Lightning Network, the monetary and financial system, the Federal Reserve, interest rates, and geopolitics. Most importantly, develop a framework for understanding global markets—connect the dots between economic and financial concepts to see the bigger picture. Look no further for your bitcoin and macro education!
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All content for The Bitcoin Layer is the property of The Bitcoin Layer and is served directly from their servers with no modification, redirects, or rehosting. The podcast is not affiliated with or endorsed by Podjoint in any way.
The Bitcoin Layer is a premium markets research provider, covering bitcoin through a global macro lens | Research, Analysis, & Education Featuring Nik Bhatia, author of the #1 Amazon bestseller Layered Money and USC Marshall School of Business professor. Subscribe to our research publication and YouTube channel to learn about global macroeconomics, bitcoin, Lightning Network, the monetary and financial system, the Federal Reserve, interest rates, and geopolitics. Most importantly, develop a framework for understanding global markets—connect the dots between economic and financial concepts to see the bigger picture. Look no further for your bitcoin and macro education!
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Investing
Education,
Technology,
Business
Episodes (20/244)
The Bitcoin Layer
Why STRATEGY Stands Alone & Why Most Bitcoin Treasury Companies Cannot Last
In this episode, Nik and Joakim Book break down why Strategy’s balance-sheet structure, perpetual preferred design, and debt flexibility make it uniquely durable while most 2025 Bitcoin treasury companies are already cracking under MNAV compression, leverage mistakes, and collapsing share premiums. They explain how convertible debt, pipe deals, equity dilution, and falling Bitcoin prices have exposed structural flaws across the sector, why forced selling risk is overstated for Strategy but real for smaller firms, and how Tether flows, liquidity dynamics, and equity market pressure shaped this entire cycle. The discussion sets the record straight on why Strategy’s model remains resilient while the rest of the treasury boom faces a hard reset.
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10 hours ago
39 minutes 7 seconds

The Bitcoin Layer
EUROPEAN BREAKING POINT: Italy Takes Gold Back, Sovereign Bond Crisis, & Bitcoin w/ Matt Dines
In this episode, Nik and Matt Dines break down the European sovereign stress that has become a major driver of global liquidity and Bitcoin’s recent moves. They walk through the ECB’s need to defend German and French yields, Italy’s push to reclaim gold authority, and why Euro strength signals deeper funding pressure inside Europe. Nik and Matt explain how balance sheet constraints, dollar selling, and capital sourcing across offshore markets pulled liquidity out of Bitcoin, plus how bond spreads, demographic pressures, and geopolitical fractures frame the next phase of this macro cycle.
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4 days ago
51 minutes 38 seconds

The Bitcoin Layer
THE MOST IMPORTANT DOCUMENT OF 2025: What the New U.S. National Security Strategy Means for Markets
In this episode, Nik breaks down the White House’s new National Security Strategy and explains why it is the most important document released by the administration so far. He walks through the shift away from globalism, the focus on reshoring industrial capacity, and how defense spending, technology investment, and middle class revitalization tie directly into future market structure. Nik analyzes the new Monroe Doctrine framing, the balance of power approach with China, the administration’s stance on Europe, and how energy dominance, AI, and military production shape credit creation and capital flows. He explains why these policies matter for risk markets, the Treasury market, and Bitcoin’s long term setup as the United States pivots into a new macro regime.
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6 days ago
59 minutes 57 seconds

The Bitcoin Layer
INTEREST EXPENSE EXPLODES: Why The Fed Must Cut & What It Means For Bitcoin
In this episode, Nik breaks down why the Fed is effectively locked into a rate cut next week as repo tightness eases, QT halts, and Treasury interest expense reaches historic levels. He covers how falling yields, weaker dollar action, & a turning liquidity cycle are shaping Bitcoin’s path as it holds near $90,000. Nik also dives into bond volatility, the debt math forcing lower rates, & what TBL Liquidity is signaling for Bitcoin & risk assets going into year end.
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1 week ago
21 minutes 27 seconds

The Bitcoin Layer
Bitcoin Holds $90,000: Volatility, Yields, & The FED’S NEXT PRINT
In this episode, Nik breaks down why US Treasury interest expense has become the most important story in finance, how lower rates are now a mathematical necessity for the United States, and why bond volatility remains the primary driver of Bitcoin’s price. He explains the pressure inside the repo market, the role of Japanese yields in recent volatility, the dollar’s evolving relationship with China, and how Bitcoin is holding its two year trend despite sharp macro turbulence. Nik also details why the Fed will eventually need to expand its balance sheet, how liquidity flows are shifting across global markets, and what this all signals for Bitcoin as it consolidates above $90,000.
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1 week ago
27 minutes 42 seconds

The Bitcoin Layer
Inside Bitcoin’s Trend Shift: Bear Zone, Liquidations, & Key Support
In this episode, Demian and Johan unpack Bitcoin’s recent trend break, the shift into bear territory on several on chain metrics, and why the short term holder cost basis and true market mean are now critical levels. They cover the liquidation cascade that started in October, the divergence in put call positioning across exchanges, the sharp drop in open interest, and the surprising strength of the most recent WIC off $80,000. Johan explains how trend structure, RSI momentum, realized profit behavior, and valuation zones fit together, what would confirm a reversal, and why the four year cycle may be losing relevance as Bitcoin matures into an institutional asset.
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2 weeks ago
48 minutes 56 seconds

The Bitcoin Layer
Can NVIDIA’s EARNINGS JOLT Spark a Bitcoin Reversal?
In this episode, Nik breaks down whether Nvidia’s blockbuster earnings report can be the spark that turns momentum positive for Bitcoin as it tests the crucial $87,000 to $90,000 support. He walks through the money markets monitor, the TGA rollover, and how shifts in reserves, repo usage, and liquidity flows may have driven the recent drawdown across stocks and Bitcoin. Nik analyzes the Fed corridor, the standing repo facility, Treasury supply dynamics, bond volatility, and what growing correlations between Bitcoin and equities say about the path forward. He explains why the next few weeks hinge on liquidity, volatility, and whether the combined boost from Nvidia earnings and TGA spending can stabilize risk markets.
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3 weeks ago
29 minutes 10 seconds

The Bitcoin Layer
INSIDE THE SELLOFF: Bitcoin, Sanctions, & The Liquidity Drain
In this episode, Nik breaks down Bitcoin’s sharp fall through $100,000 and explains how a surge in volatility across stocks, bonds, and the dollar has triggered a broad liquidity drain. He explores the Luke Oil divestiture pressure, Treasury sanctions, and why forced asset sales are pulling capital out of risk markets. Nik walks through the TBL Liquidity Index, the new sell signal triggered in late October, and the critical $87,000 to $88,000 support area on Bitcoin that will define whether the bull trend stays intact. He compares Bitcoin with gold, reviews stock market stress, and looks ahead to income-driven liquidity tailwinds expected in 2026.
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4 weeks ago
27 minutes 10 seconds

The Bitcoin Layer
BITCOIN CRASHES THROUGH $100,000 While Macro Volatility Surges & Trend Structure Weakens
In this episode, Nik breaks down Bitcoin’s drop below $100,000, why key trend lines matter, and how TBL Liquidity flipped negative ahead of the move. He covers the failed $108,000 level, the critical support zones near $96.000 and $87,000, the rise in bond volatility, and tightness in the repo market as SOFR hits the ceiling. Nik also explains how the government reopening and TGA spend down may affect reserves, liquidity, and Bitcoin’s path from here.
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1 month ago
15 minutes 28 seconds

The Bitcoin Layer
Inside McKinsey’s Global Wealth Report: What It Means for Bitcoin
In this episode, Nik and Demian break down the connection between credit creation, inflation, and productivity, exploring why the world’s debt keeps growing faster than real wealth. Nik explains how money enters the system, when it becomes inflationary, and how productivity can offset rising prices. They discuss McKinsey’s global balance sheet framework, the difference between paper wealth and real wealth, and how Bitcoin could serve as new collateral in a re-collateralized financial system built for long-term stability and growth.
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1 month ago
33 minutes 13 seconds

The Bitcoin Layer
LIQUIDITY Explained SIMPLY: How It Really Moves BITCOIN
In this episode, Nik explains why Bitcoin rallied on the news that the U.S. government may soon reopen. He breaks down how Treasury spending, reserves, and deposits move through the financial system, eventually fueling Bitcoin demand. Using a simple four-balance-sheet setup, Nik teaches how TBL Liquidity connects government spending, bank balance sheets, and Bitcoin’s price performance.
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1 month ago
16 minutes 46 seconds

The Bitcoin Layer
Bitcoin Holds $100,000 as Stocks Recover: TBL Liquidity Explained
In this episode, Nik breaks down the latest global macro data and Bitcoin’s reaction to shifting liquidity conditions around the $100,000 level. He covers repo market tightness, U.S. credit card debt trends, Treasury issuance plans, and debt-to-GDP stability. Nik also compares Bitcoin’s performance to gold, explores what MVRV and realized price reveal about market health, and explains how TBL Liquidity captures the link between funding, risk assets, and Bitcoin’s price action.
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1 month ago
38 minutes 10 seconds

The Bitcoin Layer
How the Fed Lost Control of Liquidity (and What It Means for Bitcoin)
In this episode, Nik and Demian unpack how the Fed’s fight to manage repo market tightness is reshaping liquidity and Bitcoin’s price behavior. They break down the balance between inflation, employment, and the Fed’s “unofficial” financial stability mandate, exploring how fiscal dominance and credit creation now drive global money flows more than monetary policy itself. Nik explains why Bitcoin acts as a liquidity asset, not a safe haven, and how the next cycle will be defined by the real economy, not Fed narratives.
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1 month ago
37 minutes 6 seconds

The Bitcoin Layer
Fed Liquidity Crunch Explained: Repo, QT, & Bitcoin’s Reaction
In this episode, Nik breaks down a new wave of funding stress across the global liquidity system. He explains how the Treasury’s growing General Account is pulling cash from reserves, why repo spreads are flashing early warning signals, and how the dollar’s rebound is weighing on Bitcoin’s price below $108,000. With markets tightening and liquidity pressure mounting, Nik reveals what these signals mean for Bitcoin, risk assets, and the next phase of the global credit cycle.
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1 month ago
19 minutes 16 seconds

The Bitcoin Layer
Liquidity Tightens AGAIN: What the Repo Market Is Telling Us
In this episode, Nik Bhatia breaks down the latest global macro developments including new stress in the repo market, the Fed’s official plan to end QT on November 30, and what these moves mean for liquidity, risk assets, and Bitcoin. Nik explains how the SOFR-to-IORB spread, declining reserves, and Treasury bill issuance point toward tightening conditions that will soon force renewed balance sheet growth. He also covers how “not-QE QE” may unfold, why the dollar and Chinese yuan movements matter for global risk sentiment, and why Bitcoin remains in a consolidation phase as the liquidity cycle turns.
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1 month ago
20 minutes 14 seconds

The Bitcoin Layer
THE FED ENDS QT: Fiscal Dominance, Repo Stress, & Bitcoin’s Signal
In this episode, Nik & Demian Schatt break down the Fed’s latest 25-basis-point rate cut, the announcement to end quantitative tightening, and what it reveals about the growing fiscal dominance shaping global markets. They unpack Joseph Wang’s concept of “Balance Sheet Dominance,” the mounting stress in repo markets, and why the Treasury’s massive bill issuance is now steering the Fed’s hand. The discussion connects these liquidity shifts to Bitcoin’s role in a system where monetary control is slipping, inflation remains sticky, and fiscal power is rewriting the rules of global finance.
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1 month ago
39 minutes 12 seconds

The Bitcoin Layer
How The Bible Helped Me Understand The Capital War
In this episode, Nik sits down with Kane McGukin to explore how faith, morality, and history shape the global liquidity battle Michael Howell calls The Capital War. Kane explains how reading the Bible helped him understand cycles of credit, power, and moral decay that echo through today’s financial system. The discussion connects biblical wisdom to modern macro, from the U.S.–China rivalry to the shift from Eurodollar banking toward a new liquidity era powered by stablecoins and Bitcoin.
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1 month ago
44 minutes 22 seconds

The Bitcoin Layer
THE GREAT AMERICAN RESET: Credit, Industry, and Bitcoin’s Role in What Comes Next
In this episode, Nik is joined by Matt Dines, CIO of Build Asset Management, for an expansive look at America’s evolving grand strategy. They break down the Fed’s next move in the repo market, the role of gold in global reflation, and how Bitcoin fits into the new era of credit, conflict, and liquidity. Nik and Matt explore the CapEx boom, private credit expansion, and why the U.S. banking system’s structural shift gives it a strategic edge over Europe and China. The discussion connects five centuries of global finance, from gold-backed empires to Bitcoin’s rise as the foundation for a new monetary order.
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1 month ago
1 hour 35 minutes 5 seconds

The Bitcoin Layer
America’s Grand Strategy: Repo, China, Jensen Huang, & Bitcoin’s Next Move
In this episode, Nik breaks down the latest developments in the repo market, the Fed’s growing concern over reserve scarcity, and how these forces connect to America’s reindustrialization strategy. He explains how the shift from LIBOR to SOFR reflects a deeper geopolitical pivot, explores the U.S.–China economic dynamic, and outlines how new capital investment, dollar weakness, and expanding liquidity could drive Bitcoin’s next major cycle.
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1 month ago
53 minutes 58 seconds

The Bitcoin Layer
Repo Market MELTDOWN? Gold’s Move Signals Something BIG
In this episode, Nik breaks down what’s happening inside the repo market and why gold’s explosive move toward $4,300 is sending shockwaves through global markets. He explains how rising repo spreads signal emerging reserve scarcity, why the Fed’s standing repo facility is being used again, and what it all means for liquidity, volatility, and Bitcoin’s next move. Nik also shares why the gold price action is unlike anything seen in decades, and whether it points to a deeper crisis that could force the Fed to restart QE.
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2 months ago
30 minutes 59 seconds

The Bitcoin Layer
The Bitcoin Layer is a premium markets research provider, covering bitcoin through a global macro lens | Research, Analysis, & Education Featuring Nik Bhatia, author of the #1 Amazon bestseller Layered Money and USC Marshall School of Business professor. Subscribe to our research publication and YouTube channel to learn about global macroeconomics, bitcoin, Lightning Network, the monetary and financial system, the Federal Reserve, interest rates, and geopolitics. Most importantly, develop a framework for understanding global markets—connect the dots between economic and financial concepts to see the bigger picture. Look no further for your bitcoin and macro education!