Vince Lanci: Gold & Silver Crash: Here’s the Real Story

Soar Financially, Released on 6/9/26

Gold and silver suffered a sharp selloff, leaving investors questioning whether the bull market is over. Vince Lanci explains why central bank buying, collateral markets, and major shifts in the global financial system suggest the long-term gold story remains intact. He discusses China’s growing role, the future of U.S. Treasuries, silver demand, and why gold is becoming increasingly important as a global reserve asset.

Time Stamps (AI Generated)
0:00 Gold and Silver Selloff Explained
1:34 Is Gold’s Bull Market Over?
5:07 Why Gold Is Consolidating
6:45 The Importance of the 200-Day Moving Average
9:39 Where Is Gold’s New Floor?
10:53 Why Gold Reacts To Every Headline
13:12 Why Silver Is Falling Harder Than Gold
14:13 Is The U.S. Quietly Buying Silver?
17:37 Why Vince Wrote As Good As Gold
17:59 The Financial System Runs On Collateral
19:29 Gold Overtakes U.S. Treasuries
21:50 Is The Treasury Market Just Marketing?
22:07 Are We Moving Back To Gold?
24:00 Can The U.S. Fix Its Debt Problem?
25:42 Money Gets The Attention, Collateral Does The Work
28:01 Vince’s Gold Forecast For September
28:22 Hong Kong’s Gold Exchange Challenge
29:04 Will The Strait Of Hormuz Ever Reopen?
30:05 Where To Follow Vince Lanci
30:41 Final Thoughts On Gold And Silver Markets

Vince Lanci is Managing Partner at Echobay Partners LLC. Vince founded Echobay after a profitable career running CiS Options and Berard Capital. He is a Professor at the University of Connecticut and the author of the GoldFix on Substack. His latest book is As Good As Gold: The Return of Real Money.

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