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“Fake Markets” To Lead to Global Financial Crisis? Goldnomics Podcast (Ep 9)

Fake Markets – Are we living in a new era?

What are Fake Financial Markets and what effect do they have on the current inflated levels of global stock markets? What do they mean for stock market and bond market performance in the future?

In this episode 9 of the Goldnomics Podcast, Stephen Flood GoldCore CEO talks to Francesco Filia CEO of Fasanara Capital and regular contributor to CNBC about his take on this idea of Fake Markets and their effect on global financial markets and your portfolio.

Listen to the full episode or skip directly to one of the following discussion points:

00:30 – Francesco Filia and Stephen Flood: can the performance of stock markets be trusted as a barometer for economic performance?
01:06 – Stay updated in all developments in precious metals by signing up for GoldCore’s market update on www.goldcore.com
01:27 – Meet Francesco Filia, CEO & CIO at Fasanara Capital.
02:28 – Francesco: Understanding fake markets and why you should be concerned.
03:10 – Fake markets today due to complete manipulation of markets by monetary authorities.
05:14 – Francesco: Understanding the difference between passive and active investments.
07:59 – Are ETFs a cause for concern?
10:10 – Swiss National Bank & Swiss equity market: A bubble waiting to burst?
11:40 – How strong is the argument for passive investments?
12:19 – Greek Tier One Capital and the assumption of zero default risk: How sustainable is this?
14:08 – The definition of “Fake Markets.”
15:42 – Fake markets, systemic risk and investors: Identifying and avoiding the pitfalls.
17:40 – Are systemic risk indicators better than volatility based indicators?
19:50 – The Rate of Recovery: A good indicator of the temperament of the market?
22:10 – Is complexity theory a better way to understand markets?
24:09 – What can investors do to insulate themselves in Fake Markets?
25:48 – What can gold do to your portfolio in the event of a market correction?
28:03 – How can markets be fixed?
31:44 – Can central banks or official sector intervention fix the market?
32:54 – What can central banks do to protect the market and ensure systemic stability?
34:08 – Has the market bubble created more income inequality?
36:12 – Low rates: can bonds still save the day?
37:28 – Coming market transition: Any need for panic?
38:02 – Is this the right time to rebalance portfolios and hold more cash and gold?

Make sure you don’t miss a single episode……

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