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debt crisis

Chris Casey: The Missed Budget Opportunity & the Looming Fiscal Crisis

Windrock Wealth Management’s Chris Casey joins Trey Reik to deliver a stark warning: the new budget bill is being dangerously misunderstood, and it could unleash a fiscal and market crisis. With U.S. debt surpassing $37 trillion and deficits exceeding $2 trillion, Casey explains why 2025 may be the year the financial reckoning finally goes mainstream, and how investors may be blindsided by a triple threat: rising interest rates, a looming recession, and inflation.

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John Rubino Part II: The Market Crash & $20,000 Gold Reset

In Part II of this eye-opening interview, financial expert John Rubino (https://rubino.substack.com) joins James Connor to reveal why a massive monetary reset isn’t just likely, it’s inevitable. With debt levels spiraling out of control and markets more dangerously overvalued than during the 2000 tech bubble, Rubino explains why a severe market correction (potentially a 50%-80% crash) is on the horizon.

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Massive Debt and Big Changes: A New Economy Is Emerging | Brett Rentmeester

A New Economy Is Emerging – Are You Ready? With $36 trillion in U.S. debt, failing institutions, and historic economic and technological shifts, we are heading into a period of massive disruption. Brett Rentmeester breaks down why the old financial system is unsustainable and what’s next for investors.

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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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The U.S. Debt Crisis: $36 Trillion and ‘No Way Out’? | Chris Casey

U.S. debt could spiral out of control into a full-blown solvency crisis. A rapidly growing $36 trillion U.S. Government debt threatens markets and the global economy. In this eye-opening interview, Andrew Brill welcomes WindRock Wealth’s Chris Casey to explain why we’re already in “crisis mode,” how you can hedge this, and whether there’s truly ‘No Way Out.’

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Inflation vs. Bitcoin: The Fight for Your Financial Future | James Lavish

Join Anthony Scaramucci and James Lavish in this must-watch Speak Up episode as they uncover why inflation is inevitable and its profound impact on wealth, markets, and the economy. James, co-founder of the Bitcoin Opportunity Fund, reveals why Bitcoin is emerging as the most powerful store of value, challenging gold, and offering protection against the spiraling U.S. debt, threatening inflation, and widening wealth inequality. Packed with expert insights into government policies, economic trends, and Bitcoin’s long-term potential, this discussion explores the critical challenges shaping the future of money in 2025—and strategies to protect your financial future.

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The World in 2025: Markets, AI and Global Disruption? | Steven Feldman

What will 2025 bring for the economy, markets, technology, and geopolitics? Join Anthony Scaramucci and Wealthion’s co-founder and CEO, Steven Feldman, as they unveil bold predictions for a transformative year. Discover insights on a worrisome $8 trillion in U.S. debt rollovers, persistent inflation, and AI’s explosive impact on industries. They also delve into global polarization, Trump’s return to politics, and the potential for heightened market volatility. Find out how these seismic shifts will likely shape markets, investments, and society. Brace yourselves for a disruptive 2025!

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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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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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