Joaquin Marias, newly appointed CEO of Argenta Silver, speaks from the 2025 Rural Symposium in Boca Raton to outline the company's accelerating momentum. Backed by a $70M market cap, no debt, and a $4,000-meter winter drill program underway in the Andes, Argenta is quickly becoming one of the most compelling silver plays in Argentina. Strategic investors like Frank Giustra and Eduardo Stein bring high-net-worth credibility and long-term capital strength. In this interview, Joaquin shares how his...
Jul 10, 2025•22 min
Tara Christie, CEO of Banyan Gold, shares key developments in the company's Yukon-based gold resource, which now exceeds 7 million ounces. With 2.27 million ounces in the indicated category and 5.45 million inferred, she highlights a focused shift toward defining near-surface, high-grade starter pits—essential for early-stage financing and fast-tracked development. The interview centers on Banyan's flagship Armac project, now in the midst of a 30,000-meter drill program targeting resource expans...
Jul 09, 2025•17 min
Join Steve Barton in this week's Monday Market Moves as he navigates fresh highs in the S&P 500, a weakening U.S. dollar, and pivotal shifts across the commodity complex. With major technical signals flashing across gold, silver, and copper, Steve outlines actionable setups and limit orders for serious investors preparing for next week's price action. He breaks down sharp moves in uranium stocks, evaluates oil's potential bear flag, and reviews natural gas weakness with key support levels in...
Jul 06, 2025•53 min
Patrick Karim of NorthStar BadCharts delivers a sharp breakdown of the macroeconomic terrain, drawing attention to rising unemployment and jobless claims as early signals of a potential recession. However, he cautions that markets typically anticipate these trends, creating unique opportunities—especially in gold and silver miners, which often rally before recessions fully materialize. In this analysis, Patrick zeroes in on key commodities: gold, silver, copper, and uranium. He identifies copper...
Jul 04, 2025•1 hr 6 min
John Polomny of Actionable Intelligence offers a clear, data-driven outlook that challenges the prevailing recession and stagflation narratives. He explains how global central bank rate cuts, rising liquidity, and continued fiscal deficits may support economic growth, not contraction. Key indicators like PMIs and commodity breakouts are signaling a potential shift in the cycle. John outlines his highest-conviction investment themes, including Canadian oil sands, platinum group metals, uranium, a...
Jul 02, 2025•55 min
John Polomny of Actionable Intelligence offers a clear, data-driven outlook that challenges the prevailing recession and stagflation narratives. He explains how global central bank rate cuts, rising liquidity, and continued fiscal deficits may support economic growth, not contraction. Key indicators like PMIs and commodity breakouts are signaling a potential shift in the cycle. John outlines his highest-conviction investment themes, including Canadian oil sands, platinum group metals, uranium, a...
Jul 01, 2025•55 min
Join Steve Barton in this week's Monday Market Moves as he breaks down major developments across commodities and equities. The S&P 500 defies bearish expectations and hits new highs, while gold breaks below key support levels, triggering updated technicals and limit orders. Silver trades sideways, copper breaks the $5 mark, and uranium continues its sharp ascent—highlighting real-time market momentum. Steve covers oil's potential bear flag pattern, natural gas fluctuations, and Bitcoin's rec...
Jun 29, 2025•1 hr
Jordan Rusche of Mining Stock Monkey dives deep into the metals and mining sector, delivering sharp insights and actionable investment strategies. He discusses Eric Sprott's investment approach, the risky financials of Highcroft Mining, and why he personally avoids overleveraged silver companies. Jordan explores the turnaround prospects for Equinox Gold, explains why the Calibre merger might be a game changer, and praises Denison Mines' strategic uranium moves. He also weighs in on Tether's surp...
Jun 26, 2025•56 min
Doomberg, a leading energy expert, analyzes the current geopolitical tensions in the Middle East and their implications for oil prices. He emphasizes that while immediate price fluctuations may arise from conflicts, the long-term sustainability of oil prices is influenced by broader economic factors, such as supply chain vulnerabilities and global production capacities. He highlights the strategic importance of the Strait of Hormuz, noting that disruptions could lead to catastrophic consequences...
Jun 24, 2025•51 min
Rick Rule's SHOCKING Warning on Oil Prices & Gold! ~ Rule Classroom Plus Rick Rule, renowned resource investor and founder of Rule Classroom Plus, discusses the direct but temporary influence of Middle Eastern conflicts on oil prices, offering a critical perspective on short-term market fluctuations. Rick underscores that while geopolitical crises create immediate price spikes, the true sustainable driver for gold and silver remains currency debasement, driven by continuous fiat currency ero...
Jun 23, 2025•58 min
Join Steve Barton in this week's Monday Market Moves as he breaks down major developments across commodities and equities. Uranium headlines the week with a $200 million purchase by the Sprott Physical Uranium Trust, sending prices sharply higher. Meanwhile, the S&P 500 shows technical weakness despite a bullish golden cross setup, and Steve outlines why a short-term decline may be ahead. Gold and silver faced pressure, but remain near key support. Steve provides updated limit orders and tec...
Jun 22, 2025•59 min
Michael Oliver, founder of Momentum Structural Analysis, returns for Part 2 to challenge the validity of the gold 8-year cycle and deliver a sharper perspective on market momentum and central bank policy. He explains why the limited history of legalized gold undermines long-term cycle theories, and instead emphasizes momentum-based signals as more reliable indicators for investors. Michael outlines the significant influence of central bank actions—particularly money printing and interest rate ma...
Jun 21, 2025•44 min
Michael Oliver, founder of Momentum Structural Analysis, joins Steve Barton to expose the cracks forming in today's financial markets. From the largest stock market bubble in U.S. history to flawed monetary policies, Oliver reveals the deeper forces driving instability. He explains how years of zero-interest rates and aggressive money printing have created a systemic problem, not just a tech bubble. Despite new highs in indexes, momentum indicators are breaking down—a red flag for seasoned inves...
Jun 20, 2025•41 min
Garrett Goggin, editor and analyst known for his deep insight into precious metals and macroeconomic trends, joins Steve Barton on In It to Win It to deliver a powerful breakdown of the financial storm brewing beneath the surface of the global economy. Garrett explains how mounting U.S. debt, now over $37 trillion, and the fading trust in the U.S. dollar as a "risk-free" asset are reshaping capital flows into gold and silver. He reveals why traditional safe havens are failing in the face of geop...
Jun 16, 2025•44 min
Join Steve Barton in this week's Monday Market Moves as he unpacks a volatile week across commodities, headlined by gold closing at an all-time high. While gold surges, the S&P500 flashes warning signs with bearish divergence, hinting at potential downside ahead. Steve breaks down the technical setup and why this divergence could spell trouble for equities in the months ahead. The episode also tackles the broader macro landscape, with key insights into the rising M2 money supply and what it ...
Jun 15, 2025•57 min
Rick Rule, legendary natural resource investor and founder of Rule Investment Media, joins Steve Barton on Rule Classroom for a high-impact session dissecting the real value behind today's mining stocks. With sharp analysis and decades of industry insight, Rick explains why gold producers may actually be undervalued—despite rising share prices—when adjusted for current gold prices using net present value models. He exposes the flood of financings hitting the sector and teaches how to separate sh...
Jun 14, 2025•1 hr 2 min
Greg Weldon, founder of Weldon Financial, joins Steve Barton on In It to Win It for a deep-dive conversation that spans 40+ years of financial market experience. Greg shares his remarkable journey from college basketball to the chaotic trading floors of the World Trade Center, where he discovered a lifelong passion for macroeconomics and trading. He explains how the U.S. departure from the gold standard in 1971 triggered an epic credit expansion, setting the stage for today's unsustainable debt ...
Jun 13, 2025•53 min
Legendary investor Rick Rule joins Steve Barton on In It to Win It to deliver a no-holds-barred analysis of the economic and political fault lines shaping 2025. Rick lays bare the cultural chaos in the U.S., the silent stagflation already underway, and how weakening demand for oil and copper signals that we're not headed toward recession—we're in one. He warns that job growth numbers are masking real economic pain and that both political parties are using distraction to hide structural failure. ...
Jun 12, 2025•52 min
Lobo Tiggre, founder of The Independent Speculator, joins Steve Barton on In It To Win It to deliver a sobering breakdown of the global economic landscape. He explains how the lasting effects of the Trump shock, rising geopolitical tensions, and remilitarization are reshaping markets. Lobo warns that inflationary pressures remain high and argues that gold and silver are essential—not as speculative assets, but as core financial insurance. He also presents a compelling case for uranium and copper...
Jun 11, 2025•1 hr
Join Steve Barton in this week's Monday Market Moves as he dives deep into one of the most explosive commodity rotations of the year. Silver was the star of the week, surging 9.4% and marking its highest price since February 2012, with silver equities like SIL and SILJ soaring in tandem. Steve cautions against chasing the breakout and instead outlines smart accumulation zones for physical silver and miners. Uranium stocks ignited higher following Trump's executive orders, despite spot uranium ti...
Jun 08, 2025•1 hr 5 min
John, founder of Shadow Government Statistics, joins Steve Barton on In It To Win It to reveal how U.S. economic data has been distorted since the 1980s. He explains that government-reported figures on inflation and GDP are manipulated using methods like substitution and hedonics, significantly understating the real cost of living and economic hardship. According to John, actual inflation is over 10% and true unemployment hovers around 27.5%, with official statistics designed to serve political ...
Jun 04, 2025•48 min
Alan Hibbard joins Steve Barton on In It To Win It to share how his early curiosity about money led him to a career in finance focused on tangible assets. Alan reveals that his entire investment portfolio consists solely of gold, silver, and Bitcoin—assets he defines as real forms of money that cannot be printed or inflated. He explains the difference between saving and investing, emphasizing that holding fiat currency is essentially guaranteed loss due to inflation, and that real saving involve...
Jun 04, 2025•1 hr 22 min
Join Steve Barton in this week's Monday Market Moves as he breaks down a volatile week across the markets. The S&P 500 bounced 1.9% off its 200-day moving average, but Steve warns that momentum indicators like MACD and RSI point to further downside. With the Dollar Index ticking up and the 10-year yield approaching 5%, risks are rising for housing and equities. He also highlights a shift in market leadership with the Dow underperforming gold. Gold slipped just 1.5% and remains poised for a b...
Jun 01, 2025•1 hr 1 min
Peter Grandich returns to "In It To Win It" with Steve Barton to deliver one of the most powerful deep dives into macroeconomics and commodity investing to date. From the ongoing de-dollarization movement to the rising power of BRICS nations, Grandich outlines why U.S. global dominance is crumbling and what that means for your portfolio. This is essential viewing for serious investors navigating the shifting global order. He discusses why he's still long-term bullish on gold, uranium, and copper...
May 29, 2025•52 min
Join Steve Barton in this week's Monday Market Moves as he dissects the sharp 2.6% drop in the S&P 500, a volatile week for commodities, and wild moves across tech and energy stocks. Are we looking at a broad market correction, or is this the perfect dip to buy? S&P 500 flirted with support levels, while the Dollar Index dropped 1.9%. Barton explains why a bounce is unlikely and why 10-year yields creeping toward 5% could crush housing and equities. He also explores Dow vs. Gold, signali...
May 25, 2025•58 min
Today, Steve Barton sits down with uranium expert Justin Huhn of Uranium Insider for one of the most incisive briefings on the global uranium market to date. In a razor-sharp dissection of nuclear energy's future, Justin exposes the mounting disconnect between supply realities and investor expectations—and the complacency that threatens long-term energy security in the West. Justin warns that utilities are running out of time. With only a fraction of annual demand secured in long-term contracts,...
May 22, 2025•1 hr 8 min
Today, Steve Barton welcomes back global macro strategist John Polomny for one of the most direct and unsparing assessments of America's economic future. In a blistering analysis, John lays bare the structural rot inside U.S. politics, the unrelenting rise of national debt, and the financial engineering quietly pushing the country toward currency debasement and fiscal collapse. John warns that the political class—regardless of party—has no will to reduce spending. Instead, he predicts an inevita...
May 20, 2025•1 hr 2 min
Welcome back to Monday Market Moves with Steve Barton! The S&P 500 flirts with all-time highs, but strong resistance levels raise big questions—will bulls break through or is a reversal coming? Steve digs into this week's price action and where momentum might shift next. We take a close look at the "Mag Seven"—NVIDIA, Apple, Microsoft, Amazon, Google, Meta, and Tesla—as early signs of weakness start to emerge. Are we witnessing a topping formation, or is it just a healthy pause before anothe...
May 18, 2025•59 min
Today, Steve Barton sits down with Jordan Rusche of Mining Stock Monkey for a focused look at where savvy investors are putting their money in 2025. Known for his deep company research and sharp valuation skills, Jordan lays out his best strategies for navigating volatile markets. He dives into why he's avoiding First Majestic Silver despite silver bullishness, what makes Equinox Gold's Canadian projects so promising, and how he evaluates management quality and insider ownership. Jordan breaks d...
May 17, 2025•54 min
Today, Steve Barton sits down with Jordan Rusche of Mining Stock Monkey for a focused look at where savvy investors are putting their money in 2025. Known for his deep company research and sharp valuation skills, Jordan lays out his best strategies for navigating volatile markets. He explains why he's cautious on copper due to recession risk, why gold and silver royalty stocks are central to his portfolio, and how he uses price-to-value analysis to decide when to buy or sell. Jordan also walks t...
May 16, 2025•51 min