Stock Market - The “Panic Phase” Hasn't Started Yet — But It's Coming - Don Durrett
April 10, 2026

In this interview, Don Durrett breaks down why he believes a major stock market sell-off could be approaching, driven by extreme overvaluation, a growing US debt crisis, and weakening economic fundamentals. He explains how a potential "panic phase" could unfold if key levels break, why the current economy may be more fragile than it appears, and what it all means for gold and silver investors. Don also shares his outlook on precious metals, warning of short-term volatility but maintaining a strong long-term bullish view, while outlining strategies to protect capital in an increasingly uncertain financial environment.

🗓️ Recording date: April 9, 2026

📖 Chapters
0:00 Intro
1:30 – Iran conflict vs gold, silver & stocks
3:00 – The real reason to own gold (US debt crisis)
6:00 – “Fake economy” & misleading GDP data
8:30 – Biggest bubbles: stocks, deficit & debt
11:30 – The hidden $10T debt rollover risk
14:00 – Why global demand for US debt is falling
16:30 – Gold & silver outlook: short-term vs long-term
19:00 – What could trigger a market panic
21:00 – Full meltdown scenario for stocks
23:00 – How to protect your capital
25:00 – Gold vs silver: which is better?
27:00 – Crypto, foreign assets & safe havens
29:00 – What could invalidate the gold thesis
31:00 – The real threat to gold (stablecoins)

Join our Newsletter!

Sign up to our free monthly newsletter to recieve the latest on our interviews and articles.

By subscribing you agree to receive our newest articles and interviews and agree with our Privacy Policy.
You may unsubscribe at any time.