Find us at www.crisisinvesting.com

 The hosts discuss Trump saying an Iran MOU is "over" after reported attacks on ships in the Strait of Hormuz area, a major U.S. strike, and Iranian retaliation against U.S. bases in Bahrain and Kuwait, while noting uncertainty about attribution. They argue markets appear complacent despite the potential for a severe real-economy shock from disrupted oil flows, SPR drawdowns, and possible wider chokepoint closures (Hormuz, Bab el-Mandab). The conversation covers Iran's internal backlash after Khamenei's death and the likelihood of escalation, plus spillover risks from Russia-Ukraine strikes on refining assets and Europe's militarization. Doug outlines positioning: long oil via spreads and producers, long grains and gold miners, and considering bearish semiconductor hedges, while warning of bubble valuations and broader systemic financial risks.

00:00 Iran Deal Collapses

01:58 Calm Before Oil Shock

05:06 Oil and Grain Trades

10:02 Hormuz War Scenarios

12:32 Iranian Public Backlash

16:21 Israel and Turkey Risks

19:56 Financial Domino Effects

22:13 Europe Russia Escalation

25:17 Trump Megalomania Talk

29:21 How to Hedge Now

30:36 Bubble Shorts Semis SpaceX

35:18 Market Vibe and Indicators

40:13 World War III Fears

42:05 Wrap Up and Next Episode

Podden och tillhörande omslagsbild på den här sidan tillhör Matthew Smith. Innehållet i podden är skapat av Matthew Smith och inte av, eller tillsammans med, Poddtoppen.