Season 1 Episode 52
What’s really happening with the U.S. economy—and how should everyday investors prepare? In this episode, bond-market veteran Jim Lynch returns to break down the debt crisis, interest rates, inflation, the bond market’s hidden risks, and why he believes hard assets may be the only real protection moving forward. The hosts press Jim to simplify the confusing parts: what “fiscal dominance” actually means, why the 10-year Treasury isn’t responding to Fed cuts, how purchasing power is quietly eroding, and what the next 6–12 months could look like for the stock market, real estate, and Bitcoin.
This episode is packed with clear, actionable insight for anyone trying to understand the financial landscape—not financial advice, but a roadmap for understanding what’s unfolding and how to think about your own next steps.
Jim also revisits his predictions from earlier this year—many of which have played out—and shares what he believes comes next as the U.S. faces unprecedented debt, rising global instability, and an economy dependent on liquidity injections.
U.S. economy 2025 forecast, inflation, bond market crisis, fiscal dominance, interest rates, Federal Reserve, Treasury yields, stock market outlook, Bitcoin analysis, gold, hard assets, purchasing power decline, recession signals, debt crisis, BRICS currency, money printing, investing strategy, market volatility.
Keywords
U.S. economy 2025 forecast, inflation, bond market crisis, fiscal dominance, interest rates, Federal Reserve, Treasury yields, stock market outlook, Bitcoin analysis, gold, hard assets, purchasing power decline, recession signals, debt crisis, BRICS currency, money printing, investing strategy, market volatility.
Published on 1 week, 1 day ago
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