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Economy (4)

Henrik Zeberg: The Everything Market Bubble – Why & When It’s Bursting

Global markets are on the brink, warns Henrik Zeberg, Head Macro Economist at Swissblock. With overvalued stocks, skyrocketing Bitcoin, and rising economic instability, the “Everything Bubble” is nearing its bursting point. In this insightful interview with James Connor, Henrik discusses key market risks, the looming threat of deflation, and how Federal Reserve policies could trigger stagflation by late 2025. Learn what these shifts mean for your investments and how to prepare for the challenges ahead.

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Ed Yardeni: Are We Living in the Roaring 2020s?

Could this decade redefine economic growth and markets? Ed Yardeni believes it might. He joins James Connor to unpack his prediction of record highs for the S&P 500, driven by revolutionary advancements in AI, humanoids, and productivity. Ed also explains why a long-anticipated recession has not been forthcoming, as the U.S. economy has showcased remarkable resilience, supported by robust markets and technological advances. However, risks like speculative market bubbles and policy missteps loom large. Learn how technological innovation, productivity gains, and pro-growth policies could lead us to call this decade the Roaring 2020s!

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Top Wall St. Strategist Jason Trennert on U.S. Debt, Fiscal Policy, Inflation & The Fed

Jason Trennert, CEO, Chief Investment Strategist, and Co-Founder of Strategas Research Partners, joins Wealthion’s Andrew Brill to discuss the U.S. debt crisis, fiscal policy, inflation risks, and the Federal Reserve’s challenges. With $36 trillion in national debt, surging interest payments, and inflation not fully gone, is America facing a fiscal reckoning? Trennert explains how short-term funding, monetary policy, and market trends are shaping the nation’s financial future. Don’t miss this expert take on what’s next for the economy, housing, markets, and your wealth.

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Steve Hanke on the Fed’s Failures, Trump’s Win, and Recession in 2025

Steve Hanke, Professor of Applied Economics at Johns Hopkins University, joins James Connor to reveal the economic and political fallout of the Fed’s monetary missteps. From post-COVID inflation and rising wealth inequality to the 2024 election, Hanke unpacks how these policies reshaped the U.S. economy and secured Trump’s victory. He predicts a 2025 recession driven by money supply contraction and explores geopolitical risks and tensions, including China’s growing dominance in critical global industries.

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Gordon Johnson: Why Inflation Will Surge Again & Recession Is Near

Gordon Johnson, CEO & Founder of GLJ Research, joins James Connor to deliver a compelling analysis of why inflation is set to surge and how key economic indicators are flashing recessionary warnings. He delivers a sharp critique of Federal Reserve policies, highlights the growing disconnect between the stock market and the real economy, and explains why he’s now even more bearish about Tesla. Gordon also expands on investment strategies to protect your wealth in an inflationary environment and explains why he’s very bullish on uranium and nuclear power.

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Inside the Markets: Hidden Dangers & Investment Insights | David Lin

David Lin of The David Lin Report dives into the hidden dangers in today’s market, from soaring debt and geopolitical risks to Trump’s tariffs, unusual asset correlations, and the evolving roles of gold and crypto. He shares his investment philosophy and offers actionable insights for navigating these uncertain times. Join Wealthion’s Andrew Brill and David in this in-depth Speak Up conversation—essential for anyone aiming to thrive in the financial landscape of 2025 and beyond.

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Managing $6 Billion: Michael Binger on Elections, Market Risks & Investing

Michael Binger, who oversees $6.5 billion in assets, shares essential investment strategies to navigate today’s market risks. From inflation concerns and recession threats to the potential impact of election outcomes, Binger offers insights into balancing growth and protection in your portfolio. Learn why he believes in a balanced 60/40 investment approach, his take on international markets like China and Brazil, and the importance of separating politics from financial planning. Whether you’re preparing for retirement or looking to secure your wealth, this conversation provides actionable advice for uncertain economic times

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Chris Vermeulen: Institutions are Selling, Major Market Reset Ahead

Institutions are quietly unloading billions in stocks, signaling a potential market reset or recession ahead, warns Chris Vermeulen to host James Connor. In addition to his macro insights, Chris, the Founder and CIO of The Technical Traders, provides a chart trading analysis extravaganza of key investment sectors and equities like the S&P 500, NASDAQ, Nvidia, Gold, and many more that you can’t afford to miss!

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Daniel Lacalle: The Economic Risks America & The World Can’t Ignore

Andrew Brill welcomes renowned economist Daniel Lacalle, PhD, to discuss the unsustainable trajectory of the U.S. and major global economies, which are already experiencing a private-sector “hidden recession.” Lacalle, Chief Economist at Tressis, unpacks how massive government spending and loose central bank policies are inflating short-term GDP growth while creating long-term risks, including persistent inflation, unmanageable public debt, and debasement and potential loss of confidence in the U.S. dollar, as reflected in the S&P 500 and the price of gold. He highlights the growing disparity between strong headline figures and the struggles faced by everyday citizens, as inflation disproportionately affects the lower and middle class and small businesses. Lacalle advocates for pro-growth private sector policies and warns that only by curbing debt and inflation can a sustainable economic future be secured.

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