Gold & Silver: 1 More BIG Sharp Correction Coming – Then the Real Explosion Begins💥
November 27, 2025

In this episode, veteran precious metals analyst Don Durrette warns that the S&P 500’s $64 trillion valuation is the key trigger for the mining sector: he expects a 40% stock-market crash within the next 6–9 months that will drive massive capital rotation into gold and silver miners, replicating the post-2000 boom. Despite gold doubling to $4,100+ and silver surging past $50 without retracing major levels, Durrette anticipates one more sharp 10–15% correction in metals and a deeper hit to miners before the real bull leg begins, and he is holding cash to buy that dip.He coveres certain precious metals companies and his pros and cons.

🗓️ Recording date: November 26 , 2025

📖 Chapters
0:00 – Intro & Disclaimer
0:45 – S&P 500 is the only chart that matters – $64T crash coming
4:00 – Gold & silver historic breakouts explained
11:00 – Next 10-15%+ correction is imminent
15:30 – Don holding cash to buy the big dip
19:00 – HUI target 1800-2000; bond market fragility thesis
30:00 – Gold wins either way; legendary investors warning
35:00 – Rapid-fire stock picks start
36:30 – Top 5 silver producers (Coeur, PAAS, Hecla, First Majestic, Endeavour)
40:00 – Fresnillo, AYA, Guanajuato (15-25×), Integra, 1911 Gold
50:00 – Vizsla, Discovery, GoGold, NexGold
56:30 – Weaker picks & exploration advice
1:01:00 – How to follow Don (goldstockdata.com + book)
1:03:00 – Outro

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