

#152 Brian Hirschmann: This Is Probably The Most Dangerous Time In US Financial History
4 snips Mar 13, 2024
The podcast explores the presence of bubbles in US equities, real estate, and global bonds, predicting their burst. It discusses investment strategies in mining stocks, the rise of global debt, high inflation risks, and the impact on gold. The analysis compares investing in gold mining companies to physical gold or gold ETFs, and explores the effects of inflation on bonds, equities, real estate, and different asset classes.
Chapters
Transcript
Episode notes
1 2 3 4 5 6
Introduction
00:00 • 5min
Debt, Bubbles, and Fiscal Risks
04:51 • 7min
Implications of Fiscal Dominance on Gold Investments
11:57 • 16min
Investing in Gold Mining Companies vs. Physical Gold or Gold ETFs
28:19 • 4min
Analyzing the Impact of Inflation on Different Asset Classes
32:36 • 13min
Reflections on Financial Decisions and Questions for Investors
45:08 • 2min