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Peter Carlin: Why The Financial System is Imploding, The Rise of Gold & Oil Shortages
Stijn Schmitz welcomes Peter Carlin to the show. Peter is Commodity Broker, Trader, and Author. The discussion opens with the extreme volatility in global energy markets, where the Strait of Hormuz and Red Sea disruptions are creating severe logistical bottlenecks. Carlin explains that the real crisis is not crude oil supply per se, but a mismatch between the sour crude grades needed by Western refineries and the sweet crude that is more readily available.
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Timestamps:
00:00:00 – Introduction
00:01:10 – Gulf Conflict and Hormuz
00:03:42 – Oil Logistics and Shipping
00:09:27 – Shale & Refining & SPR
00:14:07 – Economic Picture & Supply
00:19:20 – Geopolitical Shifts in Gulf
00:24:14 – Gold Devaluation Strategy
00:27:10 – Trading Crude Oil Markets
00:30:20 – Chinese Payment Systems
00:35:15 – Yen Intervention and Debt
00:43:40 – Debasement & Markets
00:51:12 – Silver Thesis
00:54:30 – Pocketbook of Gold
Guest Links:
Book: https://www.apocketbookofgold.com/
Peter D. Carlin has spent the past 20 years as a commodity broker and trader, having worked for such firms as ICAP, NatSource Tullett and Eurobrokers. He has also worked as a consultant for several multinationals in the field of energy risk management. As a journalist, Mr. Carlin has written for the Financial Times and Bloomberg and has published articles for Jane’s Defence, Money Week and numerous other journals. He regularly appears on the BBC, CNN, and NBC as a commentator.
#Iran #Hormuz #USGoals #Gold #Silver #SPR #OilReserves #Yen #Japan #Debt #Debasement
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