

Rebel Capitalist News
George Gammon
Helping you thrive in a world of out of control central banks and big governments.
In this podcast I help you build and protect wealth through investing, real estate and an extreme dose of economics.
In this podcast I help you build and protect wealth through investing, real estate and an extreme dose of economics.
Episodes
Mentioned books

Jul 8, 2024 • 20min
News: Next Phase Of The Commercial Real Estate Crash Is Here
Exploring real estate fraud in a declining market, contrasting booming stock markets with Japan's economic stagnation, discussing economic bubbles and fraud aftermath, unveiling fraudulent practices in commercial real estate financing, analyzing the impact of the mortgage crisis on property prices and advocating for freedom in the banking crisis.

Jul 5, 2024 • 14min
Freight Recession: The Hidden Crisis in America's Economy
Exploring the hidden crisis in America's economy due to the freight industry recession, analyzing full-time job trends as recession indicators, and discussing the divergence between the economy and the stock market amidst Federal Reserve rate cuts

Jul 5, 2024 • 16min
BREAKING: Yield Curve Is Starting To "Un-Invert" (The Bad Way)
The podcast discusses the un-inverting yield curve in the bond market, analyzing bear and bull steepeners. It also explores the market and media reaction to job data, highlighting potential economic implications and indicators of a hard landing.

Jul 5, 2024 • 19min
News: Unemployment Jumps To Dangerous Levels (Here's What You Need To Know)
Explore the discrepancies in unemployment data and market reactions, revealing a disconnect between job numbers and actual labor market conditions. Discuss influences on Fed rate decisions and advice for investors. Analyze the rise in unemployment rates and correlation with the activation of the Som rule, historically linked to recessions. Deliberate adjustments to the rule to prevent market turmoil are also discussed.

Jul 3, 2024 • 18min
Here's The #1 Stock Market CRASH Indicator...What Signal Is It Giving Now?
Exploring the key indicator for predicting stock market crashes - credit spreads between junk debt and 10-year treasury. Understanding the impact of narrow spreads on financial institutions like Norrin Chuken Bank. Emphasizing the need to monitor credit risk indicators and navigate potential data distortions.

Jul 3, 2024 • 18min
New Jobs Data Shows EXTREME WEAKNESS...Are Rate Cuts Next?
Discussion on weak job data affecting markets, analysis of sectors driving job gains, impact of government policies on small businesses, spikes in construction job cuts, comparison to past economic crises, and narrative shifts in markets during recessions.

Jul 2, 2024 • 18min
News: Headline Inflation Drops In Europe...Is The US Next?
Analyzing declining inflation rates in Europe and potential effects on the US economy. Exploring manipulated job data in the US and its impact on the labor market. Examining inflation data revisions and disinflation in the US housing market. Discussing pitfalls of buying homes beyond financial means and government's role. Exploring potential economic trajectories and inflationary scenarios.

Jul 1, 2024 • 19min
News: Scathing Allegations Rock The WEF "Used N-Word" "Sexual Harassment"
The podcast delves into scathing allegations against the World Economic Forum, including instances of racial slurs, sexual harassment, and discrimination. It explores the declining reputation of the organization under Klaus Schwab's leadership and raises concerns about centralized control for societal and economic transformation.

Jul 1, 2024 • 13min
News: Grocery Shock The Hidden Surge in Food Prices
The podcast discusses the hidden surge in food prices, analyzing the discrepancy between reported inflation rates and actual grocery price increases. It also explores the disconnect between GDP deflator measurements and real economic conditions, revealing the impact of inflation on individuals.

Jul 1, 2024 • 30min
Treasury Yields Are EXPLODING!! (Surprise Guest: Jeff Snider)
The surprise guest, Jeff Snider, discusses the explosive rise in Treasury yields and the devaluation of the Japanese yen. They explore the impact on global banks, risky investments by Japanese banks in CLOs, and the interconnected nature of treasury sell-offs, currency movements, and market dynamics.