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Wealthion
Official Wealthion Podcast Feed. Learn about money and the markets from leading investors from around the world, and discover how to build a more resilient, long-term plan for your investment portfolio. Look for new episodes each week.
Episodes
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Jun 18, 2025 • 48min
Harry Dent: 90% Market Crash Coming - What to Do Before & After It Hits
Harry Dent, an economist and author known for his predictions on economic downturns, shares urgent insights into an impending financial crash. He warns that stocks could plummet by 90% and identifies real estate as the epicenter of the crisis. Dent critiques the $27 trillion in stimulus that has distorted the economy and highlights the risk of 'zombie companies.' Surprisingly, he believes Millennials could emerge as the biggest beneficiaries post-crash, and he offers unconventional safe haven investment strategies beyond gold and Bitcoin.

Jun 17, 2025 • 57min
Crypto’s Tipping Point Is Here: Stablecoins, Tokenization & the Institutional Boom | Chris Perkins
Chris Perkins, President of CoinFund and former Citi derivatives head, shares insights on the transformation of crypto finance. He discusses the explosive rise of stablecoins, projected to drive $2 trillion in Treasury demand, and how tokenization is revolutionizing real estate and stocks. Perkins highlights the impact of meme coins on capital formation and the potential of fixed income in crypto. With increased regulatory clarity, he suggests we're entering a new era of institutional adoption in digital assets, making this conversation essential for both veterans and newcomers.

Jun 16, 2025 • 55min
Henrik Zeberg: The Final Rally Before a Massive Crash & Global Reset
Henrik Zeberg, head macroeconomist at SwissBlock, shares his urgent insights on the impending economic crisis. He warns that while we may see a final liquidity-driven market rally, the housing market is already frozen, signaling trouble ahead. Zeberg discusses the looming risks of a deflationary bust and what that could mean for the U.S. dollar's status. Additionally, he highlights the long-term potential in AI and tech amidst economic turbulence, urging listeners to brace for significant changes on the horizon.

Jun 13, 2025 • 44min
Bad Economic Data May Be Scary, But There's Money to Be Made From It! | Rise UP!
Scott Schwartz and Jeffrey Miller, partners at Bleakley Financial, dive into the silver linings of tough economic data. They explain how a weaker dollar presents overseas investment opportunities and discuss the impact of the 'Mag 7' tech stocks on the market. Listeners will discover strategies for building an 'all weather' portfolio and the crucial differences between financial independence and retirement planning. Plus, insights on inflation and practical ways to navigate these challenging economic times.

Jun 12, 2025 • 27min
Hidden Massive Tax Changes Coming In The One Big Beautiful Bill!
Brandy Maben, Director at WindRock Wealth Management, joins the discussion to reveal alarming potential changes in a massive new budget bill that could impact everyday Americans, not just the wealthy. She highlights forced IRA distributions and tougher Roth IRA rules that may soon come into play. The elimination of grantor trusts and reduced estate tax exemptions might also affect countless families. Listeners learn about strategies to utilize Opportunity Zones for tax savings and why immediate action is essential to safeguard their financial futures.

Jun 11, 2025 • 1h 3min
Rick Rule: Gold Could 4X as the U.S. Dollar Implodes | A 1970s-Style Crisis Is Coming?
Rick Rule, a legendary investor and founder of Rule Investment Media, offers compelling insights on the precarious state of the U.S. dollar, suggesting it could lose 75% of its purchasing power. He predicts a gold surge, potentially quadrupling in value, as inflation rises. Discussing the Fed's failings, he warns about a looming financial crisis reminiscent of the 1970s. The conversation also covers undervalued gold stocks, uranium market dynamics, and the speculative nature of rare earths, urging investors to seek quality over quantity.

16 snips
Jun 10, 2025 • 56min
Michael Howell: Monetary Inflation Is Here
In this insightful discussion, Michael Howell, Managing Director of Crossborder Capital and a global liquidity expert, warns of impending monetary inflation amid rising global bond yields. He explains the dangers of current debt-to-liquidity mismatches and critiques the outdated 60/40 portfolio model. Howell highlights how China's liquidity surge may be driving gold and Bitcoin markets, and discusses the looming 2026–2028 refinancing cliff that could spell crisis. This conversation is a must-listen for anyone evaluating their investment strategies in a volatile economy.

Jun 9, 2025 • 41min
David Rosenberg: Gold to $6,000 & Why the U.S. Dollar Is Losing Its Power | Part II
David Rosenberg, an esteemed economist and president of Rosenberg Research, teams up with Jonathan Wellum, CEO of Rocklinc Investment Partners, to discuss bold predictions for the financial future. Rosenberg asserts that gold could soar to $6,000 as the U.S. dollar falters and central banks turn to gold. They delve into the mispricing of Treasuries versus stocks, the implications of rising U.S. debt, and the shift towards global investments in Europe and Asia. Together, they emphasize the necessity for investors to rethink strategies amidst evolving economic landscapes.

Jun 6, 2025 • 42min
A Tesla Tussle, Slowdown Signs? And Stocks = 1999 again? | Rise UP!
Kevin Grimes, CFA and CFP, and Chris Deeley, CFA, both from Grimes and Company, share their expertise on finance and investment strategies. They discuss the implications of the Musk-Trump feud for Tesla's stock and advise on managing exposure to its volatility. The duo also sheds light on mixed economic signals and potential slowdowns, emphasizing portfolio protection and growth strategies. They analyze whether we’re seeing stock behavior reminiscent of 1999 and offer insights on balancing investments amidst changing market conditions.

Jun 5, 2025 • 46min
David Rosenberg: Recession Is Already Here & the Fed Is Blind to It | Part I of II
In this enlightening conversation, David Rosenberg, founder of Rosenberg Research and former chief economist at Merrill Lynch Canada, argues that the recession is already underway. He critiques the Fed's missteps, particularly Jay Powell’s fixation on his legacy while ignoring economic signals. Rosenberg reveals how post-COVID stimulus has masked underlying issues, discusses the troubling state of consumer confidence and the housing market, and highlights AI and data centers as the lone stronghold in the economy. His insights challenge conventional economic narratives and spark urgent dialogue.