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Trump, Iran & The Next Market Crash — Faber Warns What’s Coming

Mar 4, 2026
Marc Faber, contrarian investor and publisher of the Gloom, Boom & Doom Report with decades of market experience and a PhD in Economics. He discusses the possibility of Iran’s regime change and whether the conflict will persist. He explores geopolitics, BRICS’ rising influence, risks to asset valuations and liquidity, and where capital might be safer.
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INSIGHT

Shrinking Liquidity Could Trigger Major Asset Deflation

  • Liquidity is shrinking and could cause broad asset deflation over the next 12 months.
  • Marc Faber warns many investors may wake up with portfolios substantially lower, with some losing 50%–90% if they stay exposed.
INSIGHT

Iran Intervention As Catalyst For A Global Downturn

  • Military intervention in Iran risks destabilizing the Middle East and harming global markets beyond the region.
  • Faber says US and Israeli actions may be a catalyst for the asset-price decline he has long expected, with most markets falling except oil.
INSIGHT

War Could Keep Interest Rates Higher Despite Recession

  • War can be inflationary, which may prevent U.S. interest rates from falling despite an economic slowdown.
  • That dynamic could force the Fed and Treasury into more money printing, complicating bond and equity outcomes.
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