Is Silver About To Break Our Debt-Based Financial System?
Silver is becoming a systemic risk.
Rare Earths: Volatility, Geopolitics And The Global Race To Secure Supply
Surging demand, long development timelines and China’s market dominance are reshaping investment risk and opportunity across the critical metals landscape through 2030 and beyond.
Europe’s Sweet Economic Music Is About To Be Drowned Out
Should you be relieved at the dulcet economic tones coming from the eurozone? Perhaps, after years of crises. The problem is, the rest of the world is dancing to a harder, faster, louder beat. Europe needs to change its tune.
Bond Vigilantes To Wreak Havoc On Markets? 10 Year Yield Breaks Out, Currencies Signal Major Trouble
The Japanese 10 year yield continues to soar and the bond vigilantes are about to smack markets lower.
Germany: The Corn’s About To Pop
After years of stagnation, the German economy looks set for a cyclical rebound. Whether that morphs into a substantial recovery highly depends on politics.
Apple Inc. Trades Near Peak As Earnings And AI Debate Drive Volatility
Apple Inc. is trading close to its 52-week high amid mixed signals, driven by AI upgrade narratives and upcoming earnings, raising both investor interest and short-term risk.
Gold Holds Firm Ahead Of CPI On Middle East Conflict And Political Instability
Gold holds near record highs as markets eye U.S. CPI and escalating conflict in the Middle East. Political instability and Fed uncertainty are driving safe-haven demand, keeping gold in focus ahead of key inflation data.
