Dave Collum: Surviving The Bubble Pop With Gold, Silver & Platinum

Soar Financially, Released on 12/7/25 (Recorded on 12/4/25)

Dave Collum joins us to explain why he believes today’s markets are dangerously overvalued and built on unsustainable complacency. We discuss the “everything bubble,” the Fed’s limits, consumer debt, passive investing risks, and why platinum may be the most undervalued asset today.

00:00 – Dave Collum on Tucker Carlson
02:20 – Inside the Backlash & Media Attacks
06:08 – Markets 200% Overvalued
07:38 – The “Everything Bubble”
08:30 – What Will Break First
09:12 – Boomer Wealth & Passive Flows
12:00 – Can the Fed Still Save Markets
15:13 – Who Benefits From a Crash
16:34 – The $6B Dell Question
19:31 – Is the Consumer Healthy
22:34 – Why This Doesn’t Feel Like a Top
24:24 – Passive Investing Risk
27:26 – 65% Returns Explained
27:48 – Platinum vs Gold & Silver
29:34 – 2025 Report Preview
33:22 – Final Thoughts

David B. Collum is an economic commentator, chemist, Betty R. Miller Professor of Chemistry and Chemical Biology at Cornell University. He holds a PhD, Columbia University, MS, Columbia University, MA, Columbia University and BS, Cornell University.

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