In this episode, technical trader Gareth Soloway returns to break down the major forces shaping markets in 2025. From gold's explosive rally and looming correction, to the geopolitical impact of U.S. tariffs, Gareth offers a data-driven perspective on where smart money is moving. We discuss the weakening equity markets, Bitcoin’s surprising stability, and how to position defensively in a volatile global environment.
For more content from VRIC host Jay Martin, please visit The Commodity University at https://2ly.link/211gp
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0:00 – Gold, Treasuries, and the Flight to Safety
5:50 – Trump, Tariffs, and Market Volatility
10:23 – Are We Heading Toward a Deep Recession?
12:02 – Why the Charts Point to a Market Breakdown
20:34 – Bitcoin’s Role in a Shifting Global Economy
24:55 – Building a Defensive Portfolio in Turbulent Times
28:13 – Where Smart Money Is Moving Globally
29:22 – Gold Equities: Still Underperforming or Ready to Run?
34:04 – Are We Entering a Lost Decade for Equities?
38:01 – Navigating What Comes Next
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