Michael Howell warns that the global financial system is approaching a breaking point, not from a recession, but from a massive mismatch between debt and liquidity. As the U.S. and other governments try to roll over trillions in short-term debt at rising interest rates, the quiet result is monetary inflation. In this explosive interview with James Connor, Howell explains why 5% bond yields are the new normal, why the 60/40 portfolio model is obsolete, and why China, not just the Fed, may be driv...
Jun 10, 2025•57 min
David Rosenberg returns with his most powerful calls yet. In Part II, Rosenberg explains why he believes gold will hit $6,000 this cycle, the U.S. dollar is entering a bear market, and Treasury bonds offer asymmetric upside in today’s fragile financial system. Rosenberg lists his top conviction trades: gold, Treasuries, defensive stocks, and global diversification, especially in Europe and Asia. He also warns that America’s reserve currency status may not last, as central banks worldwide increas...
Jun 09, 2025•42 min
In this week’s Rise UP! Joe Duran, Kevin Grimes and Chris Deeley from Grimes and Company have a spirited conversation over what the Musk/Trump battle means for Tesla stock and what to do if you own it, what the data is really saying about a potential economic slowdown and how to protect your portfolio while also making sure it’s set for growth. Plus, “perception” vs “reality” and its effects on everything from equities to home sales. Want a second opinion on your investing strategy? Get a free p...
Jun 06, 2025•43 min
David Rosenberg says the U.S. recession isn’t coming, it’s already here. In this urgent interview with Trey Reik (Part I of II), Rosenberg explains how trillions in post-COVID stimulus masked economic pain, why that fiscal support is now gone, and how Wall Street is misreading the signals. He breaks down the Fed’s biggest policy errors, including Jay Powell’s obsession with legacy over leadership. Rosenberg warns that the Fed is ignoring its own Beige Book and that both soft and hard data now po...
Jun 05, 2025•47 min
Veteran investor and natural resource expert Lobo Tiggre (The Independent Speculator) joins Trey Reik to share his bold 2025 strategy, anchored on gold and uranium. In this high-conviction interview, Lobo explains why he believes we’re entering a “Trump Shock” era: a massive economic transformation aimed at reindustrializing America, what he sees as the biggest shift since Nixon closed the gold window in 1971. You’ll also learn: Why Lobo sees gold and uranium as a “win-win” portfolio this year H...
Jun 04, 2025•59 min
Uranium demand is heating up, and it’s not just because of the energy transition. In this insightful interview, nuclear expert Per Jander (Director at WMC and advisor to the Sprott Physical Uranium Trust) joins Trey Reik to explain why uranium is entering a new bull cycle. From AI-powered data centers restarting shuttered nuclear plants to the role of uranium in global baseload power, this conversation breaks down why the world is rethinking nuclear—and why uranium prices could rise significantl...
Jun 03, 2025•1 hr
Why does the economy keep falling into recession, and why don’t most economists see it coming? In this thought-provoking conversation, Chris Casey of WindRock Wealth Management breaks down the real cause of recessions: central banks. Drawing on the Austrian School of Economics, Casey argues that artificially low interest rates and explosive monetary expansion fuel malinvestment and set the stage for inevitable downturns. He explains why mainstream economists and even Fed officials often have no ...
Jun 02, 2025•33 min
In this week’s Rise UP! Terri Kallsen, Joe Duran, Peter Boockvar, and Jon Betlow discuss everything from how market data and consumer actions are suggesting an economic slowdown is coming — to asking if the TACO trade is real? Peter explains why buying the dip isn't necessarily the way to go and that there is a better way to ensure your investments go up. Jon talks about managing emotions and client fears that a recession — and some even worry a depression -- is near, and the extremes they could...
May 30, 2025•40 min
Francis Hunt, founder of The Market Sniper, joins Maggie Lake for an alarming and wide-ranging macro discussion. He warns that the global financial system is already collapsing, starting with the U.S. bond market and spreading across fiat currencies worldwide. According to Francis, we’ve reached the end of a 45-year supercycle of debt, and what comes next is a full reset: collapsing markets, a global depression, rising authoritarianism, and the dawn of a new digital system. Key Topics: Why the 4...
May 29, 2025•1 hr 13 min
Edward Dowd says the 2025 recession is already unfolding, and investors are completely misreading the signals. In this hard-hitting interview, the former BlackRock managing director and founder of Phinance Technologies explains why the U.S. economy is far weaker than the headlines suggest. Housing is cracking, AI spending has peaked, and the true impact of mass immigration is just now being understood. Dowd argues inflation will plunge below 2% by Q4, deflation is the real risk, and U.S. Treasur...
May 28, 2025•47 min
Wealth is being redefined, and your portfolio might be dangerously outdated. In this insightful episode of Speak Up, Anthony Scaramucci sits down with early Bitcoin adopter and WindRock Wealth founder Brett Rentmeester to unpack what comes after the collapse of the 60/40 portfolio. From the inflation crisis to the Fourth Turning, from blockchain to AI, this is a must-watch for anyone serious about future-proofing their investments. Key Topics: Why Bitcoin could 10x, and a credible path to $1M Th...
May 27, 2025•30 min
In this week’s Rise UP! Grimes and Company CEO Kevin Grimes and CFP Todd Herman join Rise Growth Managing Partner Terri Kallsen for an in-depth look at this week’s Treasury markets and what rising yields really mean, managing your emotions in times of fear, and when is it really time to cash out your investments. They also dive into Bitcoin’s record-breaking week and why Bitcoin could be a great investment against traditional currencies. Plus, how tariffs are affecting retail companies, their ea...
May 23, 2025•44 min
Uranium is on the edge of a once-in-a-generation supply shock, and prices could spike faster than in 2007. Ocean Wall CEO Nick Lawson and Director Ben Finegold tell Trey Reik why the market is set up for a parabolic move. From the “Putinization of uranium” (Russia’s stranglehold on enrichment) to AI-hungry data centers that can only run on nuclear baseload, the squeeze is building fast. What we cover The 500 % surge in enrichment prices, and why oxide hasn’t followed yet Hedge funds cornering su...
May 22, 2025•49 min
Contrarian macro strategist David Hunter delivers his boldest outlook yet: a final parabolic melt-up in stocks during 2025, capping a 43-year secular bull market, followed by what he calls the biggest deflationary bust since 1929. In this must-watch interview with James Connor, Hunter predicts the S&P 500 surging to 8000 and the Dow to 55,000 before an 80 % collapse wipes out trillions. Key points he explains: Why the Fed is already behind the curve and will soon panic-cut rates How bearish ...
May 21, 2025•1 hr 5 min
Gold’s bull market is just heating up, here’s what comes next… In this deeply insightful interview, Incrementum’s Ronnie Stoeferle joins Trey Reik to share highlights from his just-released In Gold We Trust 2025 report: The Big Long. Ronnie explains why gold is no longer a contrarian bet but a strategic response to the collapse of trust in fiat currencies, central banks, and political leadership. Now in the second phase of its secular bull market, “around the 6th inning,” as Ronnie puts it, gold...
May 20, 2025•56 min
Jim Rogers, legendary investor and co-founder of the Quantum Fund, has a stark warning for investors: “I've seen this party before, and this one worries me.” In this exclusive interview with James Connor, Rogers reveals why he’s exited most of his global equity positions and is now holding massive amounts of cash, gold, and silver. He explains why today’s global economic optimism masks deeper problems: a global debt crisis, unsustainable speculation, and a dangerous shift away from free trade. K...
May 19, 2025•40 min
With markets rebounding on the back of a 90-day tariff pause and U.S.-China Trade talks, investors are asking: Is now the time to buy, or wait for the next drop? In this episode of Rise Up, Rise Growth Partner’s Joe Duran is joined by Scott Schwartz and Alexis Miller of Bleakley Financial to break down what’s really driving the markets and how disciplined investors should respond. What you’ll learn: What the U.S.-China tariff pause means for stocks, bonds, and small businesses (there’s no trade ...
May 16, 2025•42 min
In this high-conviction, high-energy interview, SCP Resource Finance CEO David Wargo joins Trey Reik to lay out why the next big macro move is into commodities, driven by a weakening dollar, a race for critical minerals, and an urgent shift away from China-dominated supply chains. Key Topics: What the recent U.S.–China trade deal really means for rare earths Why gold, silver, copper, nickel, and rare earths are all set to surge How the U.S. dollar’s decline will fuel a real asset bull market How...
May 15, 2025•31 min
Is gold still undervalued, even after hitting record highs? Tavi Costa says yes, and makes the case for $20,000+ gold. In this insightful interview, Crescat Capital’s macro strategist Tavi Costa joins Trey Reik to explain why we’re in the early stages of a “Great Rotation” out of overvalued U.S. equities and into hard assets like gold, silver, and commodities. Tavi also lays out why traditional 60/40 portfolios are set to underperform for years, how U.S. debt levels and deglobalization are press...
May 14, 2025•55 min
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. Key Topics Why the recent rally is more than just a bounce Treasury yields could fall below 4 % between June...
May 13, 2025•42 min
Brett Rentmeester, founder of Windrock Wealth Management, says the classic 60/40 portfolio may be dangerously outdated, and it’s time to look into alternative investments to protect your wealth. In this conversation with Maggie Lake, he explains why investors must rethink diversification as we enter a new era of higher inflation, rising interest rates, and currency uncertainty. This isn’t about abandoning traditional assets but about complementing them with smarter, more resilient strategies. Yo...
May 12, 2025•26 min
Stocks are ripping higher after news of a U.S.-China trade deal, but will it last? In this Wealthion Flash Market Report, Fundstrat’s Mark Newton joins Maggie Lake to react to the surprise announcement and explains why he believes this rally still has legs. Mark shares his outlook for tech stocks, treasury yields, and the dollar, and why June could bring a key market pullback even as the S&P targets 6,650 in 2025. Volatility got you concerned? Get a free portfolio review with Wealthion’s end...
May 12, 2025•14 min
In a riveting and in-depth analysis of the first trade deal made between the U.S. and another country since tariffs were announced — Rise UP’s Managing Partner Terri Kallsen and Grimes & Company’s Principal and Wealth Manager Emily Wood and Research Director and Portfolio Manager Ben Wallace, take a look at what the deal means for both markets and the economy, and if it is a signal that the U.S. will be able to avoid recession and/or stagflation. With incredible insights on market indicators...
May 09, 2025•42 min
Are you letting fear or outdated strategies sabotage your portfolio? In this important interview, Brandy Maben of Windrock Wealth Management joins Maggie Lake to reveal how the wealthiest investors prepare for volatility, inflation, and taxes, and what everyday investors can learn from them. Brandy explains why: Treasuries aren’t the safe haven they once were Tax planning (not market timing) is your biggest edge Sitting on cash may be riskier than investing Gold, farmland, and private credit are...
May 08, 2025•32 min
Is America counter-punching in a long-running trade war, or shooting itself in the foot? Economist E.J. Antoni, Unleashed Prosperity Senior Fellow and Heritage Foundation economist, joins Maggie Lake to dissect the White House’s tariff rollout, trade strategy, and the Fed’s credibility crisis. Antoni warns that a botched tariff formula is rattling allies and markets, even if the long-term goals may be sound. In this must-watch conversation, Antoni explains why: The U.S. isn’t starting a trade wa...
May 07, 2025•1 hr 5 min
Is Wall Street repeating 2008? The Technical Traders’ Chris Vermeulen tells James Connor the S&P 500 could pop to 5,950 in a final “exit-liquidity” squeeze before plunging 30-50% in a stage-four bear market. Institutions are dumping on retail while freight volumes collapse, tariffs bite, and oil flashes recession. Yet, it’s not all bearish, as Chris also sees gold breaking toward $3,750 once the shake-out is done. Key Topics: Exact chart levels Chris is watching for the crash trigger Why thi...
May 06, 2025•52 min
China sets the price, and the West scrambles to keep up. In this insightful interview, Justin Chan, Head of Research at SCP Resource Finance, sits down with Trey Reik to explain why 90 % of heavy rare earths are still processed in China, how that gives Beijing pricing power over EVs, wind turbines, and defense tech, and why even top-tier mining projects are barely breaking even. Key Topics: • China’s supply-chain chokehold: 70 % of light Rare Earths, 90 %+ of heavy Rare Earths • Price suppressio...
May 05, 2025•52 min
In this week’s Rise Up, wealth managers Andy Schwartz, David Mandelbaum, and co-hosts Terri Kallsen and Joe Duran bring incredible insights into what they believe is going to happen over the next two quarters, both economically and in the markets. Relating stories of what they are hearing from their clients and delivering the advice they are giving, including some step-by-step instructions on how investors should be thinking about and managing their portfolios right now. Plus, our viewers ask us...
May 02, 2025•48 min
Is a historic silver shortage about to send prices vertical? Sprott Asset Management CIO Maria Smirnova says we’re five years into a 1.2-billion-ounce supply deficit, and industrial demand from EVs, solar panels, and AI-hungry data centers is only accelerating. With mine output falling, exchange inventories drained, and silver’s market a tiny $30 billion a year, just a flicker of Western investment could light the fuse. Listen now to learn: Why the gold-to-silver ratio screams opportunity How EV...
May 01, 2025•38 min
Description: Are your investments ready for a world where U.S. bonds are no longer safe? In this urgent Wealthion AMA, WindRock Wealth founder Chris Casey joins the channel’s producer, Mario Rodriguez, to answer your top questions and explain why the traditional “risk-free” U.S. Treasuries investing playbook is breaking down. Chris warns of a looming U.S. debt crisis, a possible bond market collapse, and remaining risks in commercial real estate. He shares where he’s putting capital now, and why...
Apr 30, 2025•35 min