Alan Hibbard: Silver Just Broke $40, Is Triple Digits Next?
💡Is Silver part of your portfolio? Get a free portfolio review with Wealthion’s endorsed financial advisors at https://bit.ly/467JmFR
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💡Is Silver part of your portfolio? Get a free portfolio review with Wealthion’s endorsed financial advisors at https://bit.ly/467JmFR
Gold’s bull market is just heating up, here’s what comes next…
Fundstrat’s Mark Newton joins Maggie Lake to break down why markets are rallying, and why technical analysis points to even more upside ahead. Despite recession fears and volatile headlines, Newton says the S&P 500 could hit 6,650 by year-end. He argues April marked peak fear and explains how charts (not narratives) reveal the real trends across stocks, bonds, crypto, and commodities.
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.
The Federal Reserve faces mounting uncertainty, Trump’s sweeping economic policies are set to reshape markets, and the bond market remains under immense pressure—making 2025 a year of financial turbulence. In this insightful interview, Andrew Brill sits down with Jared Dillian to unpack the Fed’s 2025 outlook, the potential return of yield curve control, transformative tax reforms, and how global rebuilding efforts in Ukraine and California could drive demand for commodities. Jared also analyzes the risks of public and tech sector layoffs, stock market volatility, and offers actionable strategies to protect and grow your wealth during these uncertain times.
In this week’s edition of Wealthion’s Weekly Market Recap, Andrew Brill highlights key insights from our expert guests:
Are we approaching a market peak or a crash? Legendary investor Felix Zulauf warns of extreme U.S. market valuations, drying liquidity, and risks from inflation that are far worse than reported. He shares insights on the current tech bubble, global economic struggles in Europe and China, and the potential fallout from trade wars and tariffs. With bold predictions for 2025 and beyond, in this in-depth interview with James Connor, Felix offers a clear look at where markets could be headed next.
Market Recap: Bitcoin | Market Bubble | Market Fragility | Commodities
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.
In this eye-opening interview, Larry McDonald predicts a surge in inflation and energy prices, driven by global fiscal policies, geopolitical risks, and rising energy demand from AI-driven technology. The best-selling author and Founder of The Bear Traps Report explains why traditional investment strategies won’t work in this new economic landscape, which is transitioning from the 2010-2020 market environment to one more like 1968-1981, with sustained inflation and commodity booms. Larry also unpacks why focusing on hard assets like oil, uranium, and precious metals is crucial for protecting your wealth in this new economic and market paradigm.