Michael Oliver returns to In It To Win It with a sharp analysis of gold, silver, and platinum amid growing instability in financial markets. He explains how momentum indicators, not price alone, signal that the stock market may be forming a major top similar to those in 2000 and 2008. Silver stands out as deeply undervalued, and Oliver believes it is positioned for a breakout that could send prices above 200. He also discusses the impact of rising government debt, inflation, and weakening fiat c...
Oct 16, 2025•49 min
Steve Barton returns with this week's Monday Market Moves, breaking down a volatile shift across global markets. The S&P 500 slipped below trend while the dollar tested key support and bond yields hovered near 4%, signaling renewed uncertainty. Gold moved into backwardation as miners softened, and silver's spot premium over futures pointed to short-term market stress. Copper continued to weaken amid recession fears, while uranium cooled after recent highs but maintained its long-term bullish...
Oct 12, 2025•39 min
Rick Rule joins In It To Win It to break down the surge in gold, silver, platinum, palladium, and oil. He explains how investor enthusiasm, central bank buying, and speculative momentum are pushing metals higher while warning of potential short-term volatility. Drawing on highlights from his recent Gold Bootcamp, Rick points to continued strength in precious metals but suggests the real opportunity now lies in the undervalued oil sector. Gold Bootcamp: http://lumaconference.com/bootcamp-partner/...
Oct 11, 2025•42 min
Brien Lundin, editor of Gold Newsletter and host of the New Orleans Investment Conference, joins Steve Barton to break down today's critical moves in precious metals and global markets. With gold eyeing four thousand dollars and silver pressing toward record highs, he explains why central banks are buying aggressively and why this cycle is different. Lundin explores the signals coming from gold and bond markets, calling them indicators that we are entering the final chapter of the fiat currency ...
Oct 10, 2025•50 min
Legendary market analyst Steve Penny from Silver Chartist returns with a powerful breakdown of gold, silver, oil, uranium, and overlooked resource stocks. With gold closing above 4000 and silver approaching the key 50 level, Steve explains what these moves mean for both long-term investors and short-term traders. He highlights technical signals on the charts and outlines why caution is needed at these elevated levels, especially in silver and gold. His analysis of copper, uranium through URNM an...
Oct 09, 2025•35 min
Energy expert Doomberg returns to explore the volatile crosscurrents of global markets, energy systems, and geopolitics. From gold's quiet surge and the implications of the Chevron refinery fire to the rising influence of BRICS nations and military movements near Venezuela, this episode delivers insights rarely covered by mainstream outlets. Doomberg explains how stablecoins, oil, nuclear power, and debt management tools are shaping the future of global finance and reserve systems. He breaks dow...
Oct 07, 2025•53 min
Steve Barton returns with this week's Monday Market Moves. The S&P 500 continues to climb while the dollar and yields ease, reflecting shifting expectations around monetary policy. Gold has broken through resistance and miner stocks are showing strength, while silver pushes toward the 48 to 53 range with strong momentum. Copper is holding firm despite challenges facing major producers such as FCX, and uranium has cooled but remains within a constructive long-term pattern. Oil is testing key ...
Oct 05, 2025•45 min
Marc LaFleche, CEO of Ecora Resources, explains how the company is positioned to benefit from the global shift to clean energy through its royalty-based exposure to copper, cobalt, and other battery metals. With assets across five continents and a focus on low-risk jurisdictions, Ecora's model allows investors to tap into critical mineral demand without the operational risks of mining. LaFleche also discusses Ecora's market capitalization, low debt profile, and strong pipeline of growth-stage pr...
Oct 03, 2025•52 min
Rick Rule of Rule Investment Media reveals urgent shifts in the precious metals and energy markets as gold, silver, and copper enter high-stakes bull cycles. In this final chapter of his Gold Bootcamp trilogy, Rule focuses on junior miners and single-asset producers, cautioning that while early gains may be behind us, disciplined investors can still access significant upside. He outlines his personal strategy, reducing junior exposure and rotating into physical gold and top-tier oil names like E...
Oct 02, 2025•38 min
Ed Sterck of the World Platinum Investment Council breaks down why platinum is heading for a deep, sustained supply deficit through 2029, while palladium is shifting into surplus driven by increased recycling. He explains how structural factors like supply constraints, vehicle electrification, and substitution trends are reshaping the outlook for both metals. Sterck also highlights the broader impact of macro trends including a weakening US dollar, central bank gold buying, and potential US tari...
Sep 30, 2025•52 min
Steve Barton returns with this week's Monday Market Moves. The S&P 500 pulled back slightly but still reached a new intraday record near 6700 while the dollar continued higher within its long-term channel. Gold surged to fresh all-time highs with miners also climbing and silver outperformed with an 8.6 percent weekly gain pushing toward the upper 40s. Copper advanced as supply disruptions supported prices and uranium extended its run with spot moving above the term price and ETFs showing str...
Sep 28, 2025•39 min
Joel Litman joins Steve Barton to reveal why the U.S. economy continues to outperform the rest of the world. He challenges the reliability of GDP and instead focuses on Uniform Economic Profit as the true measure of economic strength. Litman shows that just 3,500 U.S. companies generate nearly twice the profit of 21,000 companies outside the U.S., highlighting America's unmatched innovation, venture capital flow, and corporate resilience. Joel also outlines why gold remains a strong investment a...
Sep 27, 2025•52 min
Tom Hartel returns with Steve Barton to share critical insights for investors navigating today's volatile markets. Following his accurate calls on platinum and silver, Hartel dives into undervalued opportunities including Galiano Gold in West Africa, Sylvania Platinum, and Sibanye Stillwater. He highlights growing demand in the platinum sector, driven by industrial and hydrogen applications, and points to overlooked value in Finland's Firefox Gold. For income-focused investors, Hartel shares ste...
Sep 26, 2025•57 min
Peter Grandich joins Steve Barton with a warning for today's investors. After more than four decades in the financial world, Grandich now urges extreme caution, citing dangerous overvaluation in stocks and the narrowing gap between corporate and treasury bond yields. He explains why capital preservation is more important than chasing returns and outlines why he's pulled back from traditional income investments. He also discusses the gold-to-copper ratio, the growing importance of tungsten, and h...
Sep 24, 2025•20 min
Steve Barton returns with this week's Monday Market Moves. The S&P 500 has reached new heights, signaling continued investor optimism while the dollar and yields have softened ahead of a potential Federal Reserve rate cut. Gold has extended its gains with rising miner stocks, and silver has broken out from a bull flag, positioning itself for quarterly records. In the commodities sector, copper has steadied near its long-term average, demonstrating resilience despite recent pressures, while u...
Sep 21, 2025•43 min
Steve Barton returns with this week's Monday Market Moves, covering the S&P 500 at new highs while the dollar and yields soften ahead of a possible Fed cut. Gold extended gains with miners pushing higher, and silver broke out from a bull flag with quarterly records in view. Copper steadied near its long-term average, showing resilience despite recent pressure. Uranium cooled after industry events but held its broader uptrend, while oil firmed and natural gas eased near support. Coal correcte...
Sep 14, 2025•41 min
Elijah K. Johnson of Liberty and Finance joins Steve Barton to unpack the growing cracks in the global monetary system. He recounts how his childhood interest in coins evolved into a career studying the Federal Reserve, inflation, and the fundamentals of real money. Johnson outlines how gold and silver have held their value while fiat currencies continue to weaken, and explains why the surge in central bank gold buying is a major warning sign. He also discusses the current state of the bull mark...
Sep 11, 2025•32 min
Jordan Rusche of Mining Stock Monkey joins Steve Barton to break down the latest in gold, silver, copper, uranium, and oil. He gives sharp company updates on I80 Gold, Altius Minerals, B2 Gold, Equinox, First Mining Gold, NovaGold, and Seabridge, while also outlining key risks and opportunities across the commodities sector. Rusche explains why he considers Altius a long-term hold, shares the turnaround story at B2 Gold, and highlights Equinox as a top near-term winner. He also dives into the le...
Sep 09, 2025•1 hr 4 min
Steve Barton returns with this week's Monday Market Moves, highlighting the S&P 500 and Nasdaq at fresh highs before flashing bearish divergences, alongside a weaker dollar and falling treasury yields. Gold surged nearly 4% and silver advanced 2%, signaling strength in precious metals as miners reached key targets. Copper steadied despite recent pressure, with Barton pointing to opportunities if the long-term trend holds. Uranium eased slightly but remains supported by strong fundamentals an...
Sep 07, 2025•37 min
Vlad Grabarskyy, host of Wealth Building Blueprint, shares how he shifted from molecular biology to finance by uncovering the hidden flaws of the modern monetary system. He outlines the push and pull between inflation and deflation and offers real-world strategies for protecting wealth using physical gold, silver, cash reserves, and overlooked mining stocks. Grabarskyy explains why portfolio structure matters more than ever and dives into the fundamentals of energy metals like uranium and copper...
Sep 04, 2025•33 min
Steve Barton returns with this week's Monday Market Moves, breaking down the S&P 500's intraday record and sharp fade alongside a weaker U.S. dollar and stalled yields. Gold pressed against a bull-flag breakout while silver closed at a 14-year high, extending momentum in precious metals. Miners hit measured targets, and copper steadied with upside potential toward $52 on COPX. Uranium advanced as tight spot markets and ETF inflows supported further gains, while energy split directions—oil's ...
Aug 31, 2025•33 min
Rick Rule, legendary resource investor and founder of Rule Investment Media, explains why a true Fed rate cut could trigger a 1970s-style anti-dollar, pro-gold rally and what that means for investors today. He breaks down the launch of Battle Bank, designed to serve depositors, IRA investors, and savers seeking gold- and silver-backed credit, while stressing the importance of revisiting Natural Resources Symposium replays to sharpen discipline and insight. Rule also discusses coal's overlooked s...
Aug 29, 2025•59 min
Rick Rule, founder of Rule Investment Media and former CEO of Sprott U.S. Holdings, joins Steve Barton to break down today's natural resource markets, the implications of recent Fed policy, and the risks investors face amid growing economic complacency. He cautions that blind optimism and online hype are fueling poor decision-making, urging investors to take personal responsibility through study, discipline, and saving. Rule outlines why commodities like gold, silver, and uranium remain essentia...
Aug 27, 2025•36 min
Steve Barton returns with this week's Monday Market Moves, unpacking the latest swings across equities, currencies, and commodities. The S&P 500 added 0.3%, sitting just shy of record highs as Jerome Powell's pivot toward September rate cuts fueled stagflation concerns. The dollar rolled over and the 10-year Treasury slid to 4.25%, while gold advanced 1.1% in bullish consolidation and silver surged 2.8%, extending its edge in precious metals. Commodities showed sharp divergence. Copper flash...
Aug 24, 2025•39 min
Renowned resource investor Rick Rule joins us for a powerful, no-holds-barred Q&A packed with insights into the current bull market in precious metals, uranium, oil, and beyond. From gold's classic breakout pattern to under-the-radar junior miners, Rick outlines where the real value lies—and where retail investors are being misled. In this exclusive Rule Classroom Plus session, Rick breaks down key macro trends like the collapse of CPI credibility, de-dollarization, and the flight to hard as...
Aug 23, 2025•56 min
Michael Oliver, founder of Momentum Structural Analysis, joins Steve Barton to reveal a stark macroeconomic outlook. He warns that the U.S. stock market, especially the S&P 500, is forming a broadening top—a classic sign of an impending bear market. By using momentum charts rather than traditional price action, Oliver identifies critical divergences and highlights tech leaders like Microsoft and NVIDIA as potential downside catalysts. He sees strong upside ahead for silver, silver equities, ...
Aug 20, 2025•1 hr 3 min
Steve Barton returns with this week's Monday Market Moves, breaking down the numbers driving equity and commodity markets. The S&P 500 climbed 2.4% to fresh highs while the 10-year yield hovered near 4.4%, hinting at a possible reversal in momentum. Gold pushed to $3,600 with eyes on $3,700, and silver tacked on 1.3%, extending its outperformance in the precious metals space. Commodities delivered a mixed picture. Copper, trading near $3.50, presented value opportunities, while uranium held ...
Aug 17, 2025•40 min
Brien Lundin, editor of Gold Newsletter and host of the New Orleans Investment Conference, joins Steve Barton for a deep dive into macroeconomics, mining stocks, and precious metals. Lundin outlines how decades of easy money and mounting debt have forced central banks into record gold purchases, setting the stage for a major move in metals markets. He explains why mining stocks—particularly junior miners—have lagged behind the rising gold price and why that's creating a unique investment opportu...
Aug 14, 2025•49 min
Ed Sterck, Director of Research at the World Platinum Investment Council, joins Steve Barton to explore the platinum and palladium markets, their supply-demand dynamics, and key investment trends. He shares his path from geology to leading platinum research, offering a clear view of current market forces and opportunities for investors. The conversation examines platinum's near-million-ounce annual deficit, the constraints on mine supply, and the influence of recycling, jewelry, industrial use, ...
Aug 13, 2025•53 min
Chris Marcus of Arcadia Economics joins Steve Barton to break down the hidden dynamics of the silver market, the macroeconomic forces shaping gold and silver, and the tactics used by major silver banks. He shares his journey from Wall Street to commodities, offering strategies for navigating volatile markets. The discussion covers how rising debt fuels demand for precious metals, why retail selling hasn't stopped silver's climb, and the mechanics behind alleged price suppression. Marcus also exa...
Aug 12, 2025•46 min