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McAlvany Weekly Commentary

McAlvany Financial Group

WEEKLY MONETARY, ECONOMIC, GEOPOLITICAL NEWS AND EVENTS

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  • 23 episodes
  • weekly
  • Avg 44 min
  • English
Counted on this page — what you have heard stays on this device, so it is not something the list can be paged by.
  • April 15 · 52 min

    Being Set Up For The Next “Big Short” Moment

    David looks at why private credit may be setting the stage for the next major financial break. They walk through the growing risks in insurance portfolios, private equity, and commercial banking, and why more of that exposure may be finding its way toward everyday investors. The episode also covers recession pressure, energy shocks, interest rates, […]

  • April 8 · 39 min

    Gold Is Key Player In New Monetary Regime

    Iranian Oil Toll System Accelerates Petroyuan We Are Handing Monetary Transition To Chinese On A Silver Platter U.S. Is Having A Hard Time Selling Enough U.S. Treasuries “We’re handing this monetary transition to the Chinese on a silver platter. And Trump may have had a plan in Iran when he started, but I doubt he […]

  • April 1 · 33 min

    Could Hormuz Be the U.S.’s Suez?

    This week, David looks at how past oil shocks reshaped markets and why those lessons still matter today. They discuss the long tail of energy disruption, what happens when supply shocks work their way through the economy, and why real assets tend to come back into focus during periods like this. The conversation also touches […]

Showing 21–23 of 23 episodes