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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
Mentioned books

Apr 17, 2025 • 54min
America’s Rare Earth Crisis: Why China Dominates & How to Fight Back | David Wargo
David Wargo, CEO of SCP Resource Finance and a specialist in global mining, sheds light on China's control of over 90% of the rare earth market. He discusses the strategic importance of rare earths like neodymium and dysprosium in technologies such as EVs and robotics. Wargo highlights the West's struggle to regain footholds in this sector, revealing two promising companies, MEI and EFR, that could lead the reindustrialization charge. With geopolitical tensions escalating, the rare earth market is positioned for long-term growth opportunities.

5 snips
Apr 16, 2025 • 43min
Ed Yardeni: Stocks Have Bottomed. Here’s What Comes Next for Gold, China & Trump’s Tariffs
Ed Yardeni, a seasoned market strategist, shares his insights on the financial landscape. He discusses why he believes U.S. stocks might have bottomed out and why gold is regaining appeal. Yardeni warns that Trump’s tariffs could ignite geopolitical tensions with China, especially regarding Taiwan. He examines the emotional shift in American sentiment from optimism to global caution and offers bold predictions for the S&P 500. This conversation is a treasure trove of actionable insights for investors navigating a turbulent market.

31 snips
Apr 15, 2025 • 54min
Recession? The Fed Isn't Coming to the Rescue
Jim Bianco, President and Macro Strategist at Bianco Research, shares his expertise on the current financial landscape. He discusses why the Fed may not intervene during a recession and the insights from the bond market. Bianco reveals his 4/5/6 theory, calling for increased reliance on wealth managers. He highlights the dollar's decline and a shift away from U.S. assets, recommending gold as a strategic buy while advising caution around overvalued tech stocks. Tariff policies may offer unexpected benefits, indicating the complex dynamics at play.

11 snips
Apr 14, 2025 • 54min
Jim Grant, Larry Lepard, John Hathaway & More on Gold’s Historic Bullish Setup
Join finance luminaries Jim Grant, a legendary monetary policy expert, Larry Lepard, a hard money advocate, John Hathaway, a gold investing expert, and Dave Iben, a disciplined value investor. They dissect why gold is soaring above stocks and fiat currencies. Listen in as they explore bullish predictions for gold and Bitcoin, the undervaluation of gold mining stocks, and the nuances between physical bullion and paper gold. Insights on the future of money and central bank dynamics make this a must-listen for investors!

Apr 11, 2025 • 45min
Volatility! What Investors Must Know & Do Now | ft. Benjamin Wallace & Todd Hermann | Rise UP!
In this insightful discussion, Benjamin Wallace, a CFA at Grimes & Company, joins financial experts Todd Herman and Terri Kallsen. They delve into the turmoil of today’s investment landscape, spotlighting the jaw-dropping spike in U.S. Treasury yields and the chaos driven by tariff uncertainties. Listeners learn critical strategies to maintain focus amidst market swings, the top mistake investors make in volatile times, and how to assess the effectiveness of financial advisors. Their guidance is a must for anyone looking to navigate this economic storm.

Apr 10, 2025 • 1h 8min
Julien Garran: The Real Trump Trade Is a Blue-Collar Economic Revolution
In a captivating discussion, Julien Garran, a partner at MacroStrategy Partnership specializing in global liquidity cycles, reveals the misinterpretation of Trump's economic agenda. He argues that the 'Real Trump Trade' focuses on revitalizing blue-collar workers through strategic government interventions. Julien discusses how trade, spending, and energy policies aim to rectify decades of decline, while predicting a deflationary bust turning into a reflationary boom. He also raises concerns about AI's sustainability as a bubble and the potential for long-term economic shifts.

30 snips
Apr 9, 2025 • 1h
Marko Papic: Markets Misread Trump - Here’s the Real Risk
Marko Papic, Chief Strategist at BCA Research, shares his insights on the geopolitical and economic implications of Trump’s tariff strategies. He argues these tariffs may be more of a negotiation tactic than an outright trade war. Papic highlights the risks of a multipolar world and warns investors about a potential recession with high bond yields. He boldly predicts a 30% decline in the U.S. dollar, urging investors to reassess their strategies in light of shifting global dynamics.

Apr 8, 2025 • 40min
Larry Lepard: Gold Stocks Are Set to Explode | The Big Print & Asymmetric Bets | Part II
Lawrence Lepard, a renowned investor and author, shares his outlook on why gold stocks are set for significant gains amid an impending sovereign debt crisis he calls 'The Big Print.' He discusses the valuation disconnect between gold prices and mining equities, and why silver miners might offer even greater upside potential. Joining him, Brett Rentmeester offers insights into gold, silver, and Bitcoin as essential capital protection strategies, highlighting challenges in the mining market and possible shifts in global economic dynamics.

Apr 7, 2025 • 40min
Larry Lepard: The Fiat System Is Failing - Gold Exploding Is the Alarm Bell | Part I
In a compelling discussion, Larry Lepard, managing partner of Equity Management Associates and author of 'The Big Print', dives into the rising prices of gold as a warning of a crumbling fiat system. He addresses the critical role of sound money, including gold, silver, and Bitcoin, in navigating economic instability. Larry reveals surprising insights on the implications of Basel III regulations, the undervaluation of gold equities, and the reasons behind increasing wealth migration towards gold. Prepare for an eye-opening take on the future of finance!

Apr 7, 2025 • 23min
Scott Bessent Endorsed Gold? | Wealthion Flash Market Report
Brett Rentmeester from Windrock Wealth Management dives into the evolving perception of gold as a vital U.S. asset. He discusses Scott Bessent's surprising remarks on gold's relevance in today's financial landscape. The conversation touches on the potential for gold prices to soar, the implications of Trump's tariffs on future markets, and why central banks are boosting their gold reserves. Renting discusses defensive investment strategies focusing on hard assets and the intriguing undervaluation of silver, hinting at a possible shift for investors.


