The Bond Market Panic That Could Send Silver Berserk | Michael Oliver
The Bond Market Panic That Could Send Silver Berserk | Michael Oliver
Momentum analyst Michael Oliver joins the WTFinance podcast to break down a technical shift 13 years in the making: gold and silver mining stocks breaking out of a multi-decade base against gold itself. Covered: the August 5th buy signal, the bond market crisis pushing Morgan Stanley to retire the 60/40 portfolio for a gold allocation, the 1970s precedent when gold rose eight-fold as rates climbed from 4% to 19%, and why Oliver expects silver to outperform gold going forward.
0:00 Central banks panicking as the bond crisis unfolds
1:14 Guest introduction: Michael Oliver 1:24 The August 5th buy signal
2:14 Newmont and Wheaton Precious Metals break out
3:38 The XAU-to-gold ratio: a 13-year base resolves
5:10 The bond crisis and Morgan Stanley’s 60/20/20
6:09 The financial sector: “except worse” than 2008
7:52 A new commodity supercycle? 8:21 Gold vs. rising rates: the 1970s precedent
9:20 “Nuclear event”: money supply and real inflation 10:51 Gold and bonds during past market crashes 11:40 Why silver could outperform gold 12:28 Closing message: “fast and furious” This video is a curated compilation for informational and educational purposes only. It is not financial advice. Always do your own research and consult a licensed financial advisor before making investment decisions. #Gold #Silver #GoldMiners #PreciousMetals #CommoditySupercycle
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