‘Digital Silver’ To Skyrocket: Litecoin Creator On Next Big Moves | Charlie Lee
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In this episode Mark Skousen discusses the surge of silver toward the $100 level—highlighting its dual role as an inflation hedge and essential industrial metal amid a broader commodity super‑cycle—while also examining how the recent deployment of NATO forces to Greenland signals heightened geopolitical risk and potential impacts on defense stocks. He then outlines his top asset‑class picks for 2026, emphasizing precious metals, strategic commodities like copper, uranium and nickel, and defense‑related investments as the most promising hedges against permanent inflation and global uncertainty.
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In this interview, veteran Wall Street investor Brian Belski outlines why he remains bullish on the U.S. equity market, forecasting the S&P 500 to reach roughly 7,300‑7,500 by the end of 2026 and arguing that the current cycle will be the final bullish phase of a 25‑year secular bull run. He contrasts the fundamentals of equities with over‑extended commodities, recommends overweight positions in communication services, utilities and financials (U.S.) and industrials and consumer discretionary (Canada), and downplays geopolitical and Fed‑related noise as short‑term distractions.
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Keith McCullough, CEO of Hedge Eye, outlines his “quad‑one Goldilocks” thesis—where inflation is easing and real economic growth is accelerating—creating abundant long opportunities across metals, small‑cap stocks and other real‑asset sectors. He urges investors to tune out media hype, use quantitative risk‑range tools, stay heavily long a diversified basket of precious and base metals, and remain prepared for geopolitical shocks while questioning the current Fed and NATO frameworks.
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In this episode, host Adam Barber and Bank Rate analyst Ted Rossman break down the Trump administration’s proposal to cap credit‑card interest rates at 10%, exploring the bipartisan political push behind it and the potential fallout for consumers, banks, and the broader economy. Rossman warns that such a low ceiling could slash credit access for up to 90 % of cardholders, driving borrowers toward costly payday loans or “buy‑now‑pay‑later” schemes, and he offers practical strategies—like balance‑transfer cards, credit‑building tactics, and disciplined repayment—to navigate today’s high‑rate credit‑card landscape.
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In this interview, West Red Lake Gold CEO Shane Williams explains why gold has surged to $4,600, predicts it could reach $5,000 by year‑end, and outlines the company’s transition to commercial production, record free‑cash‑flow generation, recent $100 M CAD financing, and upcoming milestones such as Q1 results and an updated prefeasibility study. He also highlights the firm’s strong performance versus the gold price, its growth strategy toward a mid‑tier producer, and where investors can follow West Red Lake Gold’s progress.
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In this interview, Aaron Arnold of Altcoin Daily argues that the traditional four‑year Bitcoin cycle is dead and predicts a new all‑time high around 2026, driven by institutional inflows, upcoming market‑structure legislation, and a potential risk‑on environment after recent Fed and political turbulence. He also explores how Federal Reserve turmoil, possible government shutdowns, and shifting retail behavior could shape crypto markets, emphasizing the growing influence of hedge funds and Wall Street in price dynamics.
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In this interview, MKS Pump’s metal strategist Nikki Shiels predicts gold could climb to $5,400/oz and silver to $90/oz as the world shifts into a “wartime economy” driven by geopolitical friction among the US, China and Russia, central‑bank gold buying, and export restrictions on critical minerals. She also breaks down how these dynamics are boosting other precious and strategic metals—copper, platinum, palladium, lithium, uranium and malibdinum—while warning of potential recession‑driven demand risks and the importance of measured exposure for investors.
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.Former CIA analyst Ray McGovern breaks down the Trump administration’s aggressive moves—from covert actions in Venezuela and threats toward Colombia, Mexico, and Greenland to a massive defense‑budget hike—and warns they could ignite a new world order and push NATO toward collapse. The interview also examines the geopolitical fallout of U.S. ambitions in the Western Hemisphere, Russian and Chinese responses, and the looming risk of a broader conflict.
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produce.In this episode, economist Nomi Prins explains how escalating geopolitical tensions—such as China’s silver export restrictions, U.S. moves in South America, and looming rare‑earth wars—are creating massive supply‑chain distortions that could trigger 400‑500‑point swings in the S&P 500 and drive unprecedented price squeezes in silver and other critical commodities. She also argues that these structural deficits are likely to push investors toward hard assets, with commodities set to outperform the broader market throughout 2026.
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Leor Gantz explains how the Trump administration’s capture of Venezuelan President Maduro and the subsequent control of 30‑50 million barrels of sanctioned oil—now the world’s largest oil reserve—represents a new, America‑first version of the Monroe Doctrine and a seismic shift in global energy politics. He warns that this unprecedented influx of cheap oil will trigger heightened market volatility, reshape commodity cycles, and prompt an aggressive Fed stance that could deliver major shocks to stocks, gold, silver and other assets in the coming year.
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final answer.In this episode Gary Shilling breaks down the US raid that captured Venezuelan leader Nicolás Maduro, noting that while the bold move enhances Trump’s geopolitical clout, it is more likely to usher in a Cold‑War‑style tension than a full‑scale war and has so far left markets largely unfazed. He warns that the S&P 500 is wildly overvalued—requiring a 30‑40% correction to restore historic price‑earnings ratios—and advises investors to stay short commodities such as copper, remain long the dollar and Treasury bonds, and treat defense stocks with caution.
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.Investor Doug Casey warns that relentless dollar debasement and tightening silver supplies will push the metal toward $100 per ounce in 2026, amid a looming Great Depression and a fragile global economy. He also argues that physical precious metals, select commodity stocks, and a practical, self‑reliant education plan are essential hedges against the coming financial crisis.
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In this episode, Todd Horwitz and veteran trader Bubba Horowitz warn that a 40‑60% equity collapse could be imminent as inflation, soaring debt and flawed monetary policy push precious metals to new highs—gold may reach $6,000 and silver could breach $80 by 2026. They advise viewers to eliminate high‑interest debt, hedge equity exposure, and treat gold, silver, platinum and other inflation‑hedging assets as essential safeguards against the expected stagflation‑type shock.
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In this episode, Johnny Kovacevic breaks down Ford’s $19.5 billion EV write‑down and argues the company has hit a “BlackBerry moment” by failing to retool its legacy platform while China surges ahead with new‑energy vehicles. He also outlines how the industry’s pivot to electric power, tighter regulations and lithium‑supply dynamics will separate future “Apples” from the rest, offering investors insight into the next wave of automotive and battery plays.
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In this interview Clem Chambers predicts a $150 trillion AI‑driven build‑out that will spark a massive economic boom by 2026, propelling copper into a “vertical” asset while gold and Bitcoin edge toward $10,000 amid rising geopolitical tension. He warns that first‑generation crypto remains risky, urges investors to position themselves in commodities and infrastructure tied to the upcoming power‑grid expansion, and stresses staying in the market to capture the upside.
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In this interview Ben Cowen explains why he sees October 2025 as the four‑year cycle top for Bitcoin—topping on apathy rather than euphoria—and forecasts a gradual slide toward a summer 2026 low, drawing parallels to the 2019 bare‑market pattern and noting the influence of recent Fed policy. He also argues that the current drop in retail interest makes a major alt‑coin rotation unlikely, though isolated token rallies may still occur.
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In this insightful interview, Chris Vermeulen, chief market strategist at The Technical Traders, shares his predictions for the volatile landscape of financial markets in 2026, particularly focusing on precious metals like silver and gold. He highlights the recent wild price movements and warns that increased volatility may signal a challenging year ahead for investors, while emphasizing the importance of strategic trading decisions amidst this uncertainty.
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In this insightful discussion, economist Ed Yardeni shares his bullish prediction for the S&P 500, forecasting a target of 10,000 by the end of the decade and analyzing the current economic landscape. He delves into factors such as consumer resilience, the impact of retiring baby boomers, and the potential for productivity-driven wage growth in shaping the future market trajectory.
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In this video, Doomberg discusses the escalated military actions by the U.S. against Venezuela, emphasizing the potential for this to be viewed as an "act of war" amid ongoing geopolitical tensions. The conversation explores the implications for global markets, U.S. foreign policy, and the energy sector, while questioning the motivations and consequences of such U.S. interventions.
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In this video, economist David Rosenberg discusses alarming signs of economic instability as the U.S. faces potential recessions across various sectors while growth appears misrepresented by recent GDP reports. He emphasizes the precarious state of the labor market and consumer spending, warning that continued stock market gains could mask deeper economic issues leading into 2026.
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In this insightful discussion, economist Steve Hanke warns that by 2026, rising inflation and unemployment are likely to exacerbate economic inequality, disproportionately affecting the poor while benefiting the wealthy. Hanke explores the implications of these trends on living standards and asset values, highlighting the persistent challenges of affordability and the broader economic narrative shaping public perception.
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In this episode of 'Exuberant Shakeout,' Cameron Dawson, CIO of New Edge Wealth, analyzes the market trends leading into 2026 and discusses the implications of rising FINRA margin loan balances, as well as the shifting performance of various sectors. She emphasizes the importance of earnings and economic data in determining whether the anticipated rotation away from tech can sustain, while also exploring how liquidity and potential Federal Reserve actions may influence market dynamics.
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In this insightful video featuring Harry Dent, he discusses the unprecedented 16 to 17-year market bubble that he predicts will culminate in a historic crash by 2026, driven by both economic cycles and excessive government stimulus. Dent explains the importance of understanding market cycles and urges viewers to prepare for the inevitable downturn, emphasizing that bubbles must burst to maintain the integrity of the free market.
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In this insightful discussion, economist Komal Sri-Kumar forecasts a looming recession in 2026, highlighting concerns over stagflation—a dangerous mix of rising inflation and economic stagnation not seen for 50 years. He emphasizes the unreliability of current inflation data, the Federal Reserve'...
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Join trader Gareth Soloway as he discusses the implications of Bitcoin's recent downturn on the stock market and his outlook for 2026. He highlights the interconnectedness of Bitcoin and stocks, the potential for market weakness ahead, and his favored asset classes for the coming year. Tune in fo...
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In this insightful discussion, Peter Boockvar, CIO at OnePoint BFG Wealth Partners, examines potential bond crises in 2026, highlighting why yields may rise even as the Fed cuts rates. He shares his views on inflation volatility, the impact of AI tech investments, and asset allocation strategies,...
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In this video, Jim Bianco discusses the recent downturn in stock markets and rising unemployment rates, providing his outlook for 2026. He examines the impact of sticky inflation on bond yields and stock valuations, explores the dynamics of the labor market, and reviews the potential consequences...
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In this insightful discussion, Lobo Tiggre forecasts a potential stock market bubble burst in 2026, speculating its impact on gold and silver prices. He shares his bullish outlook on precious metals, particularly silver's recent surge, while emphasizing the importance of buying during corrections...
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In this forecast, Mike McGlone warns of significant market corrections for stocks, Bitcoin, and gold by 2026, predicting Bitcoin will drop to around $10,000 after peaking near $50,000. He emphasizes the historical trends of asset reversion and reflects on the unusual performance of gold, expressing caution for investors in a potentially volatile economic landscape.
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In this insightful video, Milton Berg discusses his proprietary market model and its predictions following a significant market correction that ended in April 2025, leading to impressive gains of up to 38%. He offers a detailed analysis of how Fed policies affect market conditions and shares his cautious yet optimistic long-term outlook, highlighting both potential opportunities and risks ahead.
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In this eye-opening discussion, Michael Howell analyzes the looming financial crisis as trillions in debt approach maturity amid rising inflation. He explains the impact of central bank liquidity on global markets, the significance of the debt maturity wall, and how current trends may foreshadow ...
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Join analyst Gary Wagner as he discusses the current tipping point for gold prices, reflecting on unprecedented market movements last seen in 2008. With China’s consistent gold accumulation and recent Federal Reserve announcements influencing market trends, Gary shares insights on potential price...
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In this insightful discussion, Kavon Salehi, CEO of Stellar Gold, shares his bullish outlook on the gold market, predicting prices could reach $5,000 by 2026. He examines the factors driving gold's rise, including geopolitical risks and global debt levels, while highlighting the mining sector's s...
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In this insightful video, Chris Vermeulen shares predictions for 2026, highlighting significant potential for precious metals amid expected turmoil in equity markets. As markets react to recent Federal Reserve actions, Vermeulen analyzes current sell-offs, emphasizing the importance of following ...
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In this insightful discussion, Marathon Digital Holdings CEO Fred Thiel explores the current state of Bitcoin mining amidst a weak market and the emerging trend of miners pivoting to AI projects. Thiel analyzes recent market volatility, quantifies financial strategies, and discusses how mining si...
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| Views | 187,672 | 30,299 |
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In this insightful discussion, Rick Rule shares his bold predictions for the gold and energy markets over the next decade. He foresees significant declines in gold prices and highlights the potential for a "reckoning" in energy and industrial materials. Rule provides analysis on monetary policy, ...