PODCAST: Silver, Bitcoin, and the Fed
Jerry breaks down the Federal Reserve’s upcoming December meeting and why he expects a 25 basis point rate cut. He also explains the end of quantitative tightening and the possible return of future QE. Jerry also covers silver’s fresh all-time high, Bitcoin’s recent weakness, and the growing tension in Venezuela as the U.S. positions itself around the world’s largest oil reserves.
PODCAST: Crypto Under Pressure (Panic or Opportunity?)
Bitcoin dips below 100K. Ethereum and altcoins slide. Stocks wobble. Gold cools off. Everywhere you look, investors are asking the same question… is this the start of something bigger? In this episode, Jerry Robinson breaks down what’s really driving the latest market pullback and why it’s about more than just crypto. Plus, hear Jerry’s timeless rules for crypto investing.
PODCAST: Riding the Trend (From Gold’s Seismic Selloff to Apple’s New Highs and More)
Jerry Robinson breaks down the latest moves across the markets — from gold’s biggest one-day selloff in a decade to Apple’s breakout to fresh all-time highs and Bitcoin’s rebound off recent lows. Plus, leveraged ETFs have quietly hit record growth. Here’s what you need to know to stay disciplined and ride the trend.
VIDEO: Buying the Crypto Dip + Bittensor 101
In this members-only webcast, Jerry Robinson reveals his newest crypto buy and explains why he’s been buying the recent crypto crash. Plus, he delves into Bittensor (TAO), exploring the reasons he is bullish long-term on this crypto AI play.
VIDEO: Our Q4 2025 DCA Investment Strategy
In this members-only webcast, Jerry Robinson shares our dollar-cost-average investment strategy for Q4 2025, including the specific stocks, ETFs, and cryptos we are buying. Plus, member updates for Q4 including our Smartscore 11 and Sector Rotation strategies.
PODCAST: Markets on the Move
Precious metals are breaking higher, crypto is trying to bounce back, and global markets like China are showing strength as we head into the final stretch of the year. In this quick episode, Jerry Robinson walks you through what he’s watching in gold, silver, platinum, Bitcoin, Ethereum, and more as we prepare for the start of Q4. Plus, a sneak peak at our new Position Trading course coming next month.
PODCAST: Washington’s Runaway Debt Machine
Jerry Robinson breaks down the latest shocking U.S. fiscal data and explores why the Federal Reserve is cornered into cutting rates. Plus, we explore how $7.5 trillion parked in money markets could soon flood back into risk assets, and how our January 2025 Market Outlook is tracking as Q3 ends.
VIDEO: Preparing for Fed Rate Cuts + Big Tech Updates
In this webcast, Jerry Robinson helps investors prepare for potential Fed and global rate cuts, examining inflation, M2 money supply, government deficits, and political uncertainty. He also shares fresh updates on his two largest holdings, and closes with a thought-provoking book recommendation—Jacques Ellul’s Propaganda.
PODCAST: The Gold and Silver Boom of 2025
Gold and silver are in full breakout mode in 2025. In this episode, Jerry Robinson explains why the rally is happening, what it means for miners, and how investors can think strategically in this environment. He also shares his broader market commentary on stocks, Bitcoin, and more.
VIDEO: Nationalizing Intel and Nvidia Earnings Preview
In this members-only webcast, Jerry Robinson examines the U.S. government’s new 10% ownership stake in Intel and what nationalizing one of America’s leading chipmakers could mean for investors and taxpayers alike. Plus, he previews Nvidia’s upcoming earnings report, explains how to use implied volatility, and provides several key crypto charts.
PODCAST: On The Edge of War
In this episode, Jerry Robinson explores the growing risk of U.S. involvement in the escalating Israel–Iran conflict and what it means for American interests. Later, he analyzes the Federal Reserve’s upcoming rate decision and unpacks the Senate’s passage of the Genius Act.
PODCAST: The Big, Beautiful Debt Spiral
As the U.S. national debt closes in on $37 trillion, this episode exposes Washington’s reckless spending and its dangerous long-term consequences. Jerry Robinson breaks down what it means for your money, your future, and the nation’s stability.
VIDEO: Investing Amid U.S. Credit Downgrade and Debt Expansion
In this live webcast, Jerry Robinson discusses America’s latest credit downgrade and exploding debt, along with updates to his long-term portfolio. Despite Washington’s fiscal recklessness, investing opportunities remain—and we highlight 22 new ETF position uptrend alerts.
PODCAST: Lessons from Rome, Warnings for America
In this episode, host Jerry Robinson examines the sobering parallels between the decline of ancient Rome and the trajectory of modern America. Drawing on real historical examples, Jerry outlines seven key warning signs that echo across time and offers actionable financial insights to thrive amid the decay.
PODCAST: Trade War Fallout – What’s Next for Markets?
In this episode, Jerry Robinson explores the latest GDP contraction, triggered in part by trade wars, and the impact on markets, the U.S. dollar, and investment opportunities. We also discuss Bitcoin, gold, silver, and equities in this uncertain economic environment.
VIDEO: Our Q2 2025 DCA Investment Strategy
In this members-only webcast, Jerry Robinson shares our dollar-cost-average investment strategy for Q2 2025, including the specific stocks, ETFs, and cryptos we are buying. Plus, Jerry helps you navigate the “Trump Tariff” market volatility.
VIDEO: Market Pullback or Bear Market? How I’m Adapting My Strategy
In this member-exclusive video, we analyze whether the market selloff is a normal pullback or the start of a bear market, discuss trade war and recession risks, and share how I’m adjusting my DCA investing strategy to navigate current conditions.
VIDEO: Nvidia’s Crash Explained – DeepSeek, AI Investing, and What’s Next
We break down Nvidia’s recent stock crash and explore the role China’s DeepSeek played in the market reaction. We also analyze the broader implications for AI investing and discuss our own portfolio moves for the long-term. Plus, we discuss several potential market-moving events ahead this week.
How to Find the Right Stock Trading Mentor: What to Look For and Why It Matters
Stock trading can be a profitable yet challenging journey, and having a knowledgeable mentor can make all the difference. Discover five key traits to look for in a trading mentor, and learn what to avoid at all costs.
PODCAST: America’s Looming Debt Crisis
In this episode, we explore the urgent and underreported U.S. debt crisis, unpacking what the staggering numbers truly mean for current and future generations. Later, get key insights into where the stock and crypto markets might be heading.
Robert Kiyosaki: Why the Ultimate Stock Market Crash Will Begin in 2016
Listen in as the real estate mogul and oil/gas investor explains to Jerry Robinson why he believes the biggest stock market crash in history could likely begin this year — and how he is preparing his own financial house.
CHART: Volatility Rocks the Global Financial Markets
Major technical damage has occurred to the charts of U.S. stocks, and the path of least resistance is down. Be advised.
WEBCAST: 3 Ways To Profit From a Market Collapse
In this 65-minute video webcast, Jerry Robinson explains three powerful strategies for profiting from an eventual downturn in the stock market.
CHART: Why (and How) I am Betting on Volatility
Over the past two decades, every time stocks experience a steep decline, volatility reacts the same way.
European Stocks, Bonds Soar On Potential Greek Deal
German and French stocks had their best day since 2012 as Eurozone bonds soar…
CHART: These Emerging Countries Are Most Vulnerable to a Fed Rate Hike
If any of your investments have exposure to these vulnerable emerging economies, watch them closely as the Fed intensifies its talk of a rate hike.
Doug Casey: Signs of a Resource Sector Bottom
The prudence of owning precious metals is more paramount than ever.
CHART: Oil Poised to Rise Against All Odds as Mideast Goes Up in Flames
If oil prices pop in the coming days, it won’t be based on economic fundamentals.
PODCAST: Buy and Hold is Dead
On today’s show, economist and FTMDaily.com founder Jerry Robinson shares some of the major moves he is making with his own investments as the stock market reaches new highs. Since December of 2009, Jerry has been riding the uptrend in U.S. stocks higher. However, at the end of 2014 and the beginning of 2015, Jerry […]
Retire Abroad and Offshore Your IRA
Secure your IRA from bankrupt politicians by taking it offshore and retiring abroad.
Doug Casey on ISIS, Gold, Oil, and What to Expect in 2015
What does Doug’s guru-vision foresee for 2015?
CHART: Major Buy Signal Looms on Gold
Want to be alerted when gold prices finally flash a new buy signal?
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Will the Stock Market Collapse in 2014?
On this week’s podcast, Jerry Robinson shares his simple approach to investing in U.S. stocks and explains why a stock market collapse could be a very profitable event for those who understand trends.
An Introduction to Peer to Peer Lending
On this week’s episode, Jerry Robinson is joined by Thomas Cloud, Jr. for a discussion on peer to peer lending.
Bank Offers Leveraged Exposure to 10-Year Treasuries
If you expect the 10-year Treasury yield to grow over the next five years, this CD is definitely worth a closer look, as any upside growth during the CD term will be multiplied by 3.3.
Investing Amid the NSA Fallout
On this week’s show, Jerry Robinson provides insightful commentary on why he believes investors should prepare for the NSA fallout from the global backlash. Plus, an update for gold silver investors.
Bank Offers Exposure to Foreign Currencies with FDIC-Insured CD
There are no account fees for the MarketSafe Evolving Economies CD.
Global Economic Outlook 2013: The Return of Volatility
The World Bank recently lowered the global economic outlook. Markets are under pressure as volatility rears its ugly head once again.