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专家承认:金银市场被严重操纵,别抱怨,学会利用规则“反杀”,看懂金銀市場操縱,白銀價格重演1974年歷史?專家解析未來走勢,擁抱債務陷阱中的投資機遇,分析師揭秘美聯儲印鈔如何引爆大牛市

訪談精華

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专家承认:金银市场被严重操纵,别抱怨,学会利用规则“反杀”,看懂金銀市場操縱,白銀價格重演1974年歷史?專家解析未來走勢,擁抱債務陷阱中的投資機遇,分析師揭秘美聯儲印鈔如何引爆大牛市

4 448 просмотров · 21 час назад
訪談精華
6,47 тыс. подписчиков
4 448 просмотров · 21 час назад
本視頻為關於*「貴金屬與大宗商品市場分析」*的中文評論摘要,視頻中的說法只代表其本人的個人觀點,不能被視作投資建議。如果你對此話題感興趣,要了解更多,歡迎訪問原始的podcast,原始視頻鏈接在下方的關於採訪的文字說明中。 This video is a Chinese-language commentary and summary on the topic of *“Precious Metals and Commodity Market Analysis”*. The views expressed in the video represent the personal opinions of the speaker and should not be considered investment advice. If you are interested in this topic and want to learn more, you are welcome to visit the original podcast. The link to the original video is in the description text about the interview below. 本期節目是 Commodity Culture 頻道主持人 Jesse 對 SilverChartist.com 創辦人 Steve Penny 的訪談摘要。Steve Penny 是一位專注於貴金屬市場分析的專家,他通過技術分析和對宏觀經濟的解讀,為投資者提供市場洞見。 節目中,Steve Penny 詳細闡述了他對當前白銀市場的看法,認為市場正處於一個類似1974年的中期盤整階段,並預測美聯儲的政策最終將走向「加息、暫停、印鈔」的循環。他深入探討了貴金屬市場操縱的話題,並提出了如何將其化為自身優勢的策略。此外,節目還比較了黃金和白銀不同的投資屬性,分析了礦業股的入場時機,並解釋了為何他比看好黃金白銀更看好鈾市場的未來。最後,所有分析都回歸到全球債務陷阱這一宏觀背景,強調了持有實物貴金屬在對沖貨幣貶值和維護個人財富自由方面的重要角色。 *本期節目各部分標題:* 白銀的1974時刻:加息、暫停、再印鈔 市場操縱:承認其存在並化為優勢 白銀vs黃金:波動性與財富傳承的選擇 無法逃避的債務陷阱與貴金屬的最終角色 #白銀 #黃金 #鈾 #貴金屬 #市場操縱 #美聯儲 #經濟週期 #礦業股 #債務陷阱    • SILVER Will Outperform Gold 'By a Wide Mar...   This program is a summary of an interview from the Commodity Culture channel, where host Jesse speaks with Steve Penny, the founder of SilverChartist.com. Steve Penny is an expert specializing in precious metals market analysis, providing investors with market insights through technical analysis and interpretation of the macro-economy. In the program, Steve Penny elaborates on his view of the current silver market, suggesting it is in a mid-term consolidation phase similar to 1974. He predicts that the Federal Reserve's policy will ultimately cycle through "hike, pause, and print." He delves into the topic of market manipulation in precious metals and offers strategies on how to turn it into an advantage. Furthermore, the program compares the different investment attributes of gold and silver, analyzes the timing for entering mining stocks, and explains why he is even more bullish on the future of the uranium market than on gold and silver. Ultimately, all analysis is framed within the macroeconomic context of the global debt trap, emphasizing the crucial role of holding physical precious metals in hedging against currency debasement and preserving personal financial freedom. *Topics in this episode:* Silver's 1974 Moment: Hike, Pause, and Print Market Manipulation: Acknowledging and Using It to Your Advantage Silver vs. Gold: The Choice Between Volatility and Generational Wealth The Inescapable Debt Trap and the Ultimate Role of Precious Metals #Silver #Gold #Uranium #PreciousMetals #MarketManipulation #FederalReserve #EconomicCycle #MiningStocks #DebtTrap