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Has Gold Failed Its Geopolitical Test Or Did the Dollar Just Win the First Round?
Gold did not fail when war broke out. The dollar simply won the first wave of panic buying. In this piece, John Rubino explains why money still rushes into the U.S. financial system during early fear, why that does not weaken the long-term case for gold, and how central bank buying, supply constraints, and prolonged conflict could still drive precious metals higher.

The Tech Boom Looks Brilliant. That’s Why Investors Should Be Nervous
The tech boom may be built on real innovation, but years of easy money, loose liquidity, and higher valuations have also distorted risk. This piece explains why investors should be careful assuming technology stocks can keep compounding the way they did in the age of near-zero rates.

How Social Breakdown Creates Economic Fragility
A country does not begin to unravel when tanks roll in or markets finally crack. It begins when trust in leadership, legitimacy, and the social contract starts to break down, turning social strain into economic fragility long before most investors or institutions are willing to see it.

The Collapse Before the Collapse: Preparing for Societal Fracturing
David Betz warns that collapse does not begin with tanks in the streets. It begins much earlier, with falling trust, fractured identity, weakened institutions, and a society that still appears functional on the surface while growing more brittle underneath.

The Market Still Does Not Understand Oil
The Iran conflict is not just a geopolitical flashpoint. It may be the event that forces investors to rethink oil, inflation, and the strategic value of energy in a world that suddenly looks far more fragile.
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