Feb 27, 2026
In this interview, Kerry Lutz speaks with Mark J. Quann about recent market performance and why US stocks have lagged global markets despite what he views as a still-strong economy. He points to rising wages and increasing energy independence as key factors supporting long-term growth.
Quann outlines the “buy,...
Feb 25, 2026
In this interview, Kerry Lutz speaks with Rick Rule about why he sold 80% of his physical silver — and why the move isn’t bearish. Rick explains that once silver stopped being a “hated” asset, the opportunity changed, leading him to redeploy capital into high-quality silver equities with strong upside if prices...
Feb 23, 2026
In this interview, Kerry Lutz speaks with Michael Pento about how liquidity may already be expanding by as much as $20 billion per week, quietly pushing the Federal Reserve’s balance sheet back toward $7 trillion — despite continued claims of tight policy.
He warns that the next recession could bring massive...
Feb 18, 2026
Gold is testing the $5,000 barrier — and the charts are flashing warning signs.
Kerry Lutz and Jerry Robinson dive into gold and silver as markets test extreme levels.
A rising 50-day moving average offers support, but long weekly wicks show momentum could be slowing. Will it break through, or pause first?
Speculation...
Feb 13, 2026
Mortgage rates tripled. The crash never came.
In this Episode Kerry Lutz and Jason Hartman break down why U.S. housing didn’t collapse when borrowing costs exploded.
Nearly 25% of homeowners hold mortgages at or below 3%. About 65% are at 4% or less. That “lock-in effect” crushed supply and froze mobility.
Fewer...