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Gold (2)

Rick Rule: Markets Plummeting, What to Buy.

Rick Rule is known as one of the greatest and most strategic investors in the markets. In this investment idea rich interview with James Connor, he says that while the markets are plunging and he believes the U.S. economy will weaken, it doesn’t matter. He says he is in aggressive mode and lays out the areas – some of them surprising – where he sees steals and big upsides. He also discusses what he thinks are the biggest global risks and what investors should do about them. And of course, the future of gold, silver, and why the Canadian oil and gas sector is going to do just fine, tariffs or not. Plus, what he’s really afraid of.

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‘Europe Is Committing Economic Suicide’! | Andy Lees

Is Europe’s economy collapsing due to energy and capital mismanagement? In this must-watch interview, Andrew Lees (Founder of Macro Strategy Partners) joins Trey Reik to reveal why energy is the foundation of GDP, why renewables won’t sustain the modern global economy, and how bad policies are accelerating economic decline — especially in Europe.

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Marc Faber On Bubbles, Markets & Inflation

In this thought-provoking conversation with Anthony Scaramucci, legendary investor Marc Faber, publisher of The Gloom, Boom & Doom Report, shares his insights on the state of the global economy, central bank policies, and the long-term effects of inflation on wealth and society.

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Michael Oliver: Why Momentum Says This Market Is in Trouble

James Connor welcomes Michael Oliver, founder of Momentum Structural Analysis, to explain why his momentum models are flashing major warning signals that most investors are ignoring. Unlike traditional price charts, momentum signals structural weakness before price reacts — and right now, the NASDAQ, S&P 500, and other key markets are showing the same patterns seen before past bear markets.

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Michael Howell: We’re Close To Peak Global Liquidity in Markets

Liquidity is the lifeblood of financial markets, but what happens when it peaks? In this insightful interview, James Connor welcomes Michael Howell to explain why 2025 marks a critical turning point for global liquidity, how it could reshape investment opportunities and the risks every investor should know. Learn why gold, Bitcoin, and real assets are key to protecting your wealth, the growing dangers in U.S. and global debt markets, and how China’s economic slowdown could trigger global ripple effects. This is your essential guide to navigating what’s next in markets.

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Boom or Bust? Jonathan Wellum’s 2025 Market & Economic Insights

Will 2025 bring another bull market or a long-overdue correction? James Connor sits down with Jonathan Wellum, CEO of ROCKLINC Investment Partners, to break down the risks of stock market overvaluation, the economic divide between the US and Canada, and the sectors poised for growth, including energy, uranium, and precious metals. Jonathan also examines how inflation, government deficits, and political shifts could reshape the markets in the year ahead. Don’t miss this essential guide to navigating 2025’s opportunities and challenges.

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Jesse Felder: Warren Buffett & CEOs Are Cashing Out—Markets at Risk!

Are today’s markets on a fragile foundation? Jesse Felder thinks so. He sits down with Wealthion’s Andrew Brill to uncover why insider selling is off the charts, Warren Buffett is more cautious than ever, and top CEOs are cashing out of their stock holdings. Jesse dives into alarming recession signals, the hype surrounding AI, the risks of passive investing, and the dollar’s overvaluation. Plus, learn why commodities could dominate in the years ahead and what the Federal Reserve’s policies mean for your portfolio.

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Is the Market Rally Setting Up a Bull Trap? Euphoria To End Soon | Ron William

Markets have soared over the past two years, with an extra push after Trump’s U.S. election victory—but is this euphoria masking deeper risks? James Connor sits down with Ron William, CFTe, Founder & Principal Market Strategist at RW Advisory, who shares his insightful analysis and exclusive chart presentation to uncover late-stage market signals, historical parallels to 2008, and inflationary trends that could reshape 2025 and beyond. Learn how behavioral sentiment drives market dynamics, why Bitcoin’s momentum may reverse, and where commodities fit into the picture. Packed with actionable insights, this must-watch interview will prepare you for the challenges and opportunities ahead.

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