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RE: LeoThread 2025-07-15 17:00

in LeoFinance3 months ago

Part 12/13:

In closing, the speaker underscores that despite previous major corrections (notably in 2000, 2008, 2018, and 2020), the fundamental issues remain unresolved, underscoring the importance of active management. Markets are no longer functioning as free markets but are manipulated and intertwined within a fragile system bound to threaten stability.

The expert warns that the next phase will likely involve a violent upheaval in the bond market, marking the unwinding of the current bubbles. With the U.S. debt piling up at unprecedented rates, and foreign investors pulling back, the probability of a financial crisis looms large. The suggested approach involves being prepared, vigilant, and adaptable—ready to exit before the market's collapse and re-enter at opportune moments.