America’s Debt: ‘Out Of Control’ Or Overblown? | Thomas Mayer
Thomas Mayer, Founding Director of Flossbach von Storch, discusses the shifting global bond market, the clash between fiscal and monetary policy, and the outlook for US versus European assets amidst rising trade tensions.This video was conducted on behalf of Axcap Ventures Inc. (CSE: AXCP I OTC: GARLF) and was funded by Gold Standard Media LLC and/or affiliates. For our full disclaimer, please visit: https://portal.goldstandardir.com/disclaimer/GARLF-233Website: https://www.axcapventures.ca/*This video was recorded on May 22, 2025.Use my promo codes to get a 10% discount on BTC Vegas (May 27-29), the world's biggest Bitcoin conference:BTC Vegas 2025: https://tickets.b.tc/event/bitcoin-2025?promoCodeTask=apply&promoCodeInput=DAVIDBitcoinAsia: https://tickets.b.tc/event/bitcoin-asia-2025?promoCodeTask=apply&promoCodeInput=DAVIDSubscribe to my free newsletter: https://davidlinreport.substack.com/Listen on Spotify: https://open.spotify.com/show/510WZMFaqeh90Xk4jcE34sListen on Apple Podcasts: https://podcasters.spotify.com/pod/show/the-david-lin-reportFOLLOW THOMAS MAYER:Flossbach von Storch: https://www.flossbachvonstorch-researchinstitute.comX (@fvs_com): https://x.com/fvs_comFOLLOW DAVID LIN:X (@davidlin_TV): https://x.com/davidlin_TVTikTok (@davidlin_TV): https://www.tiktok.com/@davidlin_tvInstagram (@davidlin_TV): https://www.instagram.com/davidlin_tv/For business inquiries, reach me at david@thedavidlinreport.com*This video is not financial advice. The channel is not responsible for the performance of sponsors and affiliates.0:00 – Intro1:05 – Tariff pause global implications4:37 – Stock market outlook in light of US-China9:50 - Bonds12:03 – The Fed14:30 – American exceptionalism16:10 – S&P50017:53 – Asset allocation20:36 – European markets23:38 – Risk to financial stability26:14 – US vs. Eurozone growth28:32 - Milei-type austerity for US debt?#investing #stocks #economy
Market Panic Warning: Trader Reveals 3 Signals To Watch | Kevin Steuer
90% Crash Or Bust: ‘Stay The Hell Away’ From These Assets Warns Fund Manager | George Noble
One Sector Is 'Firing On Both Cylinders' And Investors Are Still Underweight | Lon Shaver
2008-Style Crisis Signals Flashing Warns Ex-Lehman VP | Lawrence McDonald
What Comes After Silver’s Historic Run? CEO Reveals Next Moves | Jalen Yuan
$250 Oil Next: Why No One Is Prepared For The Biggest Event Of Our Time | Josh Young
One Asset To Double As Global System Risks Unraveling | Luke Gromen
20% Of Global Oil Cut Off; Which Assets risk Collapse? | Louis Gave
Fund Manager Reveals Next Market Explosion And How To Survive | Bob Thompson
Iran War Rocks Markets; Investor Says 3 Sectors Are About To Explode | Tavi Costa
The Great Rotation Out Of Stocks Begins As Markets Enter ‘Fourth Turning’ | David Hay
Iran Strike Shock: Panic Selling Just Starting, What Gets Hit Next? | Chris Vermeulen
Rick Rule Perfectly Called Silver Crash, Here’s What ‘Goes Crazy’ Next