
S&P 500 to 15,000? | Mel Mattison on Bretton Woods 2.0, Revaluation of Gold, and Why He Expects A Violent Stock Market Correction In Early 2025
Monetary Matters with Jack Farley
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Forecasting Market Volatility and Inflation Trends
This chapter explores potential future scenarios for the S&P 500, focusing on the possibility of a sudden market decline followed by a rapid recovery. It examines the factors driving market volatility, including inflation, energy prices, and political dynamics, while suggesting that current inflation fears may be exaggerated.
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