Silver CRASHED... What Happened & What's Next

Silver CRASHED... What Happened & What's Next

Silver crashed! Today we focus on a historic bout of volatility in precious metals following months of extreme, unhealthy gains. We figure out if the selloff was driven by the announcement of a new Fed chair or severe technical overextension, crowded positioning that triggered profit-taking, shorting, and forced de-risking. We also talked the implications of a potentially growth-leaning but inflation-conscious Fed, ongoing structural risks like debt, deficits, and sticky inflation, and why monetary policy alone can't solve them. We reviewed the January market performance, and noticed strength in energy, materials, commodities, and international equities versus lagging tech and software. Markets are rotating regimes, not ending trends, and investors should focus on risk management, diversification, and long-term planning rather than reacting emotionally to short-term chaos.

We discuss...

  • We unpacked a historic spike in precious-metals volatility, with silver experiencing extreme, record-level swings after months of unsustainably rapid gains.
  • The Fed chair news was described as a "match, not the bonfire," triggering a correction that was already statistically inevitable at extreme standard deviations.
  • Volatility selling, options hedging, and large institutional short positioning likely amplified the downside move in silver.
  • The gold-silver ratio had reached stretched levels, making a snapback or rebalancing between gold and silver unavoidable.
  • Despite the violent correction, the broader precious-metals bull trend was viewed as intact rather than broken.
  • Gold was described as healthier than silver due to steady institutional and central-bank buying.
  • We covered how computers, systematic strategies, and risk managers now dominate market mechanics at volatility extremes.
  • Rate cuts may come sooner than expected, but structural issues like debt, deficits, and sticky inflation remain unresolved.
  • Markets so far reacted modestly outside of commodities, suggesting rotation rather than systemic stress.
  • Energy and commodities were highlighted as key areas to watch in an inflation-sensitive environment.
  • International equities significantly outperformed U.S. markets, reinforcing the case for global diversification.
  • A small bank failure highlighted lingering credit and balance-sheet risks despite limited systemic impact.
  • Midterm election seasonality was discussed as a potential source of higher volatility and uneven returns.

Today's Panelists:

Kirk Chisholm | Innovative Wealth
Douglas Heagren | Mergent College Advisors

Follow on Facebook: https://www.facebook.com/moneytreepodcast

Follow LinkedIn: https://www.linkedin.com/showcase/money-tree-investing-podcast

Follow on Twitter/X: https://x.com/MTIPodcast

For more information, visit the show notes at https://moneytreepodcast.com/silver-crashed-787

Tämä jakso on lisätty Podme-palveluun avoimen RSS-syötteen kautta eikä se ole Podmen omaa tuotantoa. Siksi jakso saattaa sisältää mainontaa.

Jaksot(833)

Investing in Companies Pre-IPO

Investing in Companies Pre-IPO

Christine Healey explores the rapidly growing world of investing in companies pre-IPOs and how everyday investors are gaining access to private companies like SpaceX, OpenAI, Stripe, and Anthropic bef...

3 Heinä 58min

Q2 2026 Market Updates

Q2 2026 Market Updates

Kirk shares the Q2 2026 market updates and the market's recent sector rotation as technology stocks pause after leading gains for much of the year. Healthcare, utilities, and other sectors begin to ta...

1 Heinä 37min

Investing In Mortgages 101 with Michael Youngblood

Investing In Mortgages 101 with Michael Youngblood

Michael Youngblood joined the show to discuss investing in mortgages with the evolution of the U.S. mortgage market. He draws on more than four decades of experience in mortgage banking, securitizatio...

26 Kesä 1h 5min

Investing Recommendation...Patience and Caution

Investing Recommendation...Patience and Caution

We have an investing recommendation for you: patience and caution! We discussed current market conditions and why markets have largely moved sideways despite strong gains earlier in the year. We exami...

24 Kesä 45min

Investing in Undeveloped Land Secret Strategies

Investing in Undeveloped Land Secret Strategies

David Baker talks about why investing in undeveloped land may be the secret strategy you've been waiting for. We also discuss why water rights may become one of the most valuable assets in the coming ...

19 Kesä 45min

IPOs For Space And Beyond... Anatomy of an IPO

IPOs For Space And Beyond... Anatomy of an IPO

As SpaceX stock soars, we talk IPOs for space and beyond. We also focus on the market's reaction to a new Iran ceasefire agreement, the implications of the highly anticipated SpaceX IPO, and what thes...

17 Kesä 54min

What Is The Next Perfect Trade?

What Is The Next Perfect Trade?

Alex Gurevich talks about the next perfect trade! We discuss major shifts in the macro investing landscape, including the breakdown of the traditional stock-bond relationship, why U.S. Treasuries no l...

12 Kesä 1h 9min

Investing Secrets for IPOs, Bitcoin, and AI

Investing Secrets for IPOs, Bitcoin, and AI

Today we talk the investing secrets for IPOs, Bitcoin, and AI. There is also growing market uncertainty as strong earnings, resilient employment data, and a potential SpaceX IPO collide raise concerns...

10 Kesä 56min

Suosittua kategoriassa Liike-elämä ja talous

sijotuskasti
mimmit-sijoittaa
psykopodiaa-podcast
rss-oivalluksia-rahasta-elamasta
ostan-asuntoja-podcast
rss-rahapodi
rahapuhetta
vapauta-supervoimasi-podcast
rss-rahamania
asuntoasiaa-paivakirjat
rss-ammattipodcast
herrasmieshakkerit
syo-nuku-saasta
pomojen-suusta
rss-laakispodi
rss-kaikki-koroista
rss-markkinointitrippi
rss-perho-rajoilla
rss-rikasta-elamaa
rss-pariisilaiset