
BTC101: 4th Quarter Macro Overview w/ Luke Gromen (Bitcoin Podcast)
We Study Billionaires - The Investor’s Podcast Network
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Inflation, Debt, and Financial Realities
This chapter explores the miscalculations surrounding inflation and their effects on financial markets, particularly focusing on bond instruments. It examines systemic risks tied to low inflation assumptions and the urgent need for strategies to manage debt amid escalating inflation. The conversation also highlights the interplay between energy resources, commodities, and the shifting landscape of economic power in relation to traditional and digital assets.
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