In this insightful episode of The Mark Moss Show, Mark delves deep into the complexities of the 2024 financial landscape, discussing the critical factors shaping the economy and markets. With a focus on the potential impacts of escalating global debt, inflation, and political uncertainties, Mark offers his expert analysis and predictions for 2024. The episode breaks down the dynamics of deficit spending, the ongoing global conflicts, and the implications of an election year on financial markets. Mark also revisits his past accurate predictions and provides a critical examination of popular economic indicators like the yield curve and federal policy shifts. Tune in to discover strategic insights for protecting and growing your investments in a year poised for unpredictability and learn why Mark believes certain sectors like commodities, real estate, and cryptocurrencies might outperform expectations.
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