Sinopsis
Welcome to the Heads Up Poker Podcast. We are your hosts, Steve Barton and Mike Sneideman. This is a podcast dedicated to bringing you strategy as it applies to no limit hold'em.
Episodios
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"Inflation is Over 10% and Unemployment is Over 27%" - John Williams
04/06/2025 Duración: 47minJohn, founder of Shadow Government Statistics, joins Steve Barton on In It To Win It to reveal how U.S. economic data has been distorted since the 1980s. He explains that government-reported figures on inflation and GDP are manipulated using methods like substitution and hedonics, significantly understating the real cost of living and economic hardship. According to John, actual inflation is over 10% and true unemployment hovers around 27.5%, with official statistics designed to serve political ends, particularly around election times. John also warns that the Federal Reserve’s pandemic-era policies unleashed decades’ worth of monetary stimulus in just months, setting the stage for prolonged inflation. He urges Americans to protect themselves by investing in physical gold, calling it a shield against the economic instability ahead. This interview is a wake-up call for anyone seeking to understand the true state of the U.S. economy. Don’t miss this episode — watch now and take control of your financial future.
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Forget Stocks! Alan Hibbard Explains Why Gold, Silver & Bitcoin Are the Future!
04/06/2025 Duración: 01h22minAlan Hibbard joins Steve Barton on In It To Win It to share how his early curiosity about money led him to a career in finance focused on tangible assets. Alan reveals that his entire investment portfolio consists solely of gold, silver, and Bitcoin—assets he defines as real forms of money that cannot be printed or inflated. He explains the difference between saving and investing, emphasizing that holding fiat currency is essentially guaranteed loss due to inflation, and that real saving involves assets like gold, silver, and Bitcoin. He outlines his hands-off investment philosophy and argues that these tangible assets have outperformed traditional stock/bond portfolios over the past 25 years. Alan also provides a sobering macroeconomic outlook, citing a global leadership crisis as the root of today’s policy uncertainty and market volatility. His solution: become your own leader, take control of your financial foundation, and start with real money. Alan describes how monetary policy, negative real interest
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Monday Market Moves Uranium Soars After Trump’s Executive Order
01/06/2025 Duración: 01h42sJoin Steve Barton in this week's Monday Market Moves as he breaks down a volatile week across the markets. The S&P 500 bounced 1.9% off its 200-day moving average, but Steve warns that momentum indicators like MACD and RSI point to further downside. With the Dollar Index ticking up and the 10-year yield approaching 5%, risks are rising for housing and equities. He also highlights a shift in market leadership with the Dow underperforming gold. Gold slipped just 1.5% and remains poised for a breakout once the 200-day MA catches up. Silver held strong, and uranium stocks surged after recent political headlines. Steve highlights bullish setups in GDX, GDXJ, and B2Gold. Meanwhile, oil and natural gas showed modest moves, but energy names like Exxon and Devon are entering attractive buy zones. Coal, platinum, and nickel saw critical technical action, and Bitcoin hit $112K with Steve outlining Fibonacci-based targets as high as $170K. Don’t forget to like, share, and subscribe for weekly market breakdowns. Dr
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Peter Grandich’s Take on Uranium Boom & Gold Surge
29/05/2025 Duración: 52minPeter Grandich returns to “In It To Win It” with Steve Barton to deliver one of the most powerful deep dives into macroeconomics and commodity investing to date. From the ongoing de-dollarization movement to the rising power of BRICS nations, Grandich outlines why U.S. global dominance is crumbling and what that means for your portfolio. This is essential viewing for serious investors navigating the shifting global order. He discusses why he's still long-term bullish on gold, uranium, and copper—and warns why the illusion of stock market strength may soon give way to a painful correction. Learn how Grandich sees Donald Trump's trade policies backfiring and how Asia's growing influence is reshaping the uranium and enrichment markets. Hear why capital preservation beats capital appreciation right now and the exact sectors he’s positioning in. Don’t miss Peter’s razor-sharp views on junior mining management, Social Security’s collapse, and how to spot red flags in the commodities space. Connect with Peter Gr
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Uranium Just Exploded — Is This the Next Gold?
25/05/2025 Duración: 57minJoin Steve Barton in this week's Monday Market Moves as he dissects the sharp 2.6% drop in the S&P 500, a volatile week for commodities, and wild moves across tech and energy stocks. Are we looking at a broad market correction, or is this the perfect dip to buy? S&P 500 flirted with support levels, while the Dollar Index dropped 1.9%. Barton explains why a bounce is unlikely and why 10-year yields creeping toward 5% could crush housing and equities. He also explores Dow vs. Gold, signaling a shift in market leadership. Gold soared 5.6%, silver jumped 3.9%, and uranium equities exploded after Trump’s executive orders. Technical setups in B2Gold and GDX show massive upside potential. Oil and natural gas moved modestly, but some energy stocks hit buy zones. Coal, platinum, and nickel saw pivotal technical developments. And Bitcoin hit an intraday high of $112,000 — Steve outlines three targets up to $170K using Fibonacci analysis. Don’t forget to like, share, and subscribe for weekly market breakdow
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Justin Huhn Drops BOMBSHELL on Uranium Supply Crisis!
22/05/2025 Duración: 01h08minToday, Steve Barton sits down with uranium expert Justin Huhn of Uranium Insider for one of the most incisive briefings on the global uranium market to date. In a razor-sharp dissection of nuclear energy’s future, Justin exposes the mounting disconnect between supply realities and investor expectations—and the complacency that threatens long-term energy security in the West. Justin warns that utilities are running out of time. With only a fraction of annual demand secured in long-term contracts, and the spot market increasingly dominated by carry trades and short-term opportunism, the illusion of supply is about to be shattered. He breaks down the geopolitical fractures between East and West, where the East controls most enrichment capacity and uranium flow—while the West demands 70% of global nuclear fuel. Yet this isn’t just a warning—it’s a roadmap. Justin explains why SMRs, despite skepticism, are already reshaping future demand, how U.S. policy shifts and Trump-era executive orders could accelerate minin
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John Polomny’s Picks Uranium Oil and Gold Winners for 2025
20/05/2025 Duración: 01h01minToday, Steve Barton welcomes back global macro strategist John Polomny for one of the most direct and unsparing assessments of America's economic future. In a blistering analysis, John lays bare the structural rot inside U.S. politics, the unrelenting rise of national debt, and the financial engineering quietly pushing the country toward currency debasement and fiscal collapse. John warns that the political class—regardless of party—has no will to reduce spending. Instead, he predicts an inevitable pivot to yield curve control and stealth monetary interventions as the Fed scrambles to contain exploding interest obligations. This isn’t a drill—it's the slow-motion breakdown of the post-Bretton Woods economic order. But amid the chaos, there is opportunity. John outlines where the smart capital is going next: energy, hard assets, and deeply undervalued commodities. From overlooked coal plays to emerging market breakouts and uranium’s resurgence, John details where he’s putting real money to work in 2025. He als
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S&P 500 Skyrockets — But Crash Incoming? ~ Monday Market Moves
18/05/2025 Duración: 59minWelcome back to Monday Market Moves with Steve Barton! The S&P 500 flirts with all-time highs, but strong resistance levels raise big questions—will bulls break through or is a reversal coming? Steve digs into this week’s price action and where momentum might shift next. We take a close look at the "Mag Seven"—NVIDIA, Apple, Microsoft, Amazon, Google, Meta, and Tesla—as early signs of weakness start to emerge. Are we witnessing a topping formation, or is it just a healthy pause before another leg higher? Plus: the 10-Year Treasury yield is breaking out, gold rallies off support, silver continues its steady grind, and uranium stocks begin heating up. Natural gas explodes through resistance, while oil and Bitcoin approach key technical levels. Steve also shares setups across junior miners, royalty companies, and key commodities including copper, platinum, nickel, and iron ore. If you're looking for clear charts and strong macro takeaways to guide your next move—this is it. Don’t forget to like, share, a
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The BIGGEST Misconception in Mining Stocks EXPLAINED ~ Mining Stock Monkey
17/05/2025 Duración: 54minToday, Steve Barton sits down with Jordan Rusche of Mining Stock Monkey for a focused look at where savvy investors are putting their money in 2025. Known for his deep company research and sharp valuation skills, Jordan lays out his best strategies for navigating volatile markets. He dives into why he’s avoiding First Majestic Silver despite silver bullishness, what makes Equinox Gold’s Canadian projects so promising, and how he evaluates management quality and insider ownership. Jordan breaks down his geopolitical concerns in Burkina Faso, the misunderstood value of royalty assets, and why platinum and palladium are being ignored by the market. Jordan also reveals how he identifies red flags in junior miners in under 30 seconds, what P/E ratios really mean in commodity cycles, and why traditional valuation models fail in the mining sector. Stay until the end for an exclusive discount to his premium newsletter, giving you insider-level access to his top picks and market moves. Connect with Jordan Rusche! L
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Gold, Silver, Copper: Jordan’s Game-Changing Strategy
16/05/2025 Duración: 50minToday, Steve Barton sits down with Jordan Rusche of Mining Stock Monkey for a focused look at where savvy investors are putting their money in 2025. Known for his deep company research and sharp valuation skills, Jordan lays out his best strategies for navigating volatile markets. He explains why he’s cautious on copper due to recession risk, why gold and silver royalty stocks are central to his portfolio, and how he uses price-to-value analysis to decide when to buy or sell. Jordan also walks through specific examples with B2Gold, Sandstorm Gold, and Empress Royalty—highlighting what made him buy, hold, or exit those positions. Don’t miss Jordan’s breakdown of high-grade copper assets, overlooked silver catalysts, and how to spot gold stocks before they explode. Stick around for his portfolio management tips and exclusive offer on his premium newsletter. Connect with Jordan Rusche! Learn More: https://miningstockmonkey.com/products/vip?promo=GET10 Key Topics Discussed:✅ Jordan’s macro outlook and
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Gold, Oil, and Stocks: Is This the Final Bull Trap? ~ Chris Vermeulen Explains!
14/05/2025 Duración: 56minToday, Steve Barton is joined by Chris Vermeulen of The Technical Traders for a deep-dive into the storm brewing beneath the surface of global markets. Vermeulen issues a stark warning: the recent strength in U.S. equities is nothing more than a classic bear market bounce—and a major financial reset may be just around the corner. In this fast-moving analysis, Vermeulen exposes the hidden signals behind market sentiment, dissecting key technical levels across the S&P 500, U.S. dollar, gold, silver, oil, uranium, and copper Connect with Chris Vermeulen! Website: https://thetechnicaltraders.com/memberships/aff/go/bart1979 Key Topics Discussed: ✅ Why Chris Vermeulen believes we’re in a bear market bounce, not a recovery ✅ The global financial reset: what’s coming for equities, real estate, and commodities ✅ How trader sentiment is creating dangerous whipsaws in markets ✅ Actionable support and resistance zones for the S&P 500, Nasdaq, and Dow ✅ The U.S. dollar’s bullish reversal: wh
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Gold, Oil, Uranium: Steve’s Bold Calls This Week!
11/05/2025 Duración: 49minIn this episode of Monday Market Moves, Steve Barton delivers sharp insights into this week’s market action and what traders should prepare for next. The S&P 500 hovers near all-time highs but faces strong resistance, while the Mag Seven tech giants—NVIDIA, Apple, Microsoft, Amazon, Google, Meta, and Tesla—begin to show weakness. Is the tech rally topping, or are buyers ready to step in again? Steve analyzes the 10-Year Treasury yield’s breakout and what it means for equities and economic momentum. Gold surprised markets with an early-week rally, while silver continues to grind higher. Uranium stocks and oil plays begin to heat up, just as natural gas surges past key technical resistance. Bitcoin approaches its all-time high again, flashing both risk and reward. He also breaks down setups across junior miners, royalty firms, and hard commodities like copper, platinum, nickel, and iron ore. Whether you're trading or investing, Steve’s chart breakdowns and macro takeaways offer edge and clarity. Drop yo
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$2,500 Gold? Rick Rule's Shocking 2025 Prediction! ~ Rule Classroom Plus
09/05/2025 Duración: 56minToday, Steve Barton is joined by legendary investor Rick Rule in a high-impact episode of Rule Classroom Plus to explore the explosive dynamics of the unfolding gold bull market. Rule delivers a compelling thesis: we're witnessing the early stages of a monetary and resource-based reset that mirrors the 1970s stagflation era—and the consequences for investors are massive. In a strategic breakdown of the macroeconomic landscape, Rule warns that rising long-term interest rates, a weakening U.S. dollar, and failed Fed policy are setting the stage for a seismic shift in capital flows. Physical gold, he argues, is now reasserting itself as the dominant safe-haven asset—just as high-quality senior gold equities begin their next leg up. Rule also unveils details from his 3-part Rule Bootcamp series, with Part 2 spotlighting the “best of the best” gold producers poised to thrive in this environment. Plus, he gives an exclusive preview of the 2025 Natural Resources Investment Symposium—calling it the most valuable reso
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Micheal Oliver Explains Why Gold Will Soar, Stocks Will Crash!
08/05/2025 Duración: 01h02minToday, Steve Barton is joined by Michael Oliver, founder of Momentum Structural Analysis, for a high-stakes conversation on the future of global markets. Oliver delivers a sobering forecast: the stock market has officially peaked, and we may be entering one of the most severe downturns in modern history. But the surprises don’t end there. In a bold deviation from historical norms, Oliver argues that U.S. Treasury bonds—traditionally seen as a safe haven during equity crashes—are failing to provide cover. Instead, he identifies gold as the only remaining asset behaving like a true monetary refuge, while silver’s price action signals a potentially explosive breakout ahead. Oliver breaks down his momentum-based analysis across key sectors, revealing critical support and resistance levels for gold, silver, crude oil, and natural gas. He also dissects systemic risks in commercial real estate, the Fed’s policy box, and why central banks may soon be forced into aggressive new interventions. If you're positioning for
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Rick Rule: The Gold Rush, Trump on Uranium, & Why $60 Oil Isn't Sustainable
06/05/2025 Duración: 45minRick Rule returns to dissect global economic trends with host Steve Barton. The two dive into the implications of persistent debt and deficits, deteriorating currency value, and surging interest rates—arguing that gold isn't just a hedge, it's a necessity. Rule emphasizes the critical timing for shifting from physical bullion to top-tier gold stocks and discusses the current and future state of energy commodities including uranium, oil, gas, and coal. Rule also lays out insights on where we are in the gold investment cycle and gives a rare behind-the-scenes look at how the Trump administration is actively removing barriers for US energy and uranium development. With an upcoming Gold Bootcamp and his Boca Raton Symposium on the horizon, Rick offers tools and strategies to not just survive but thrive in the shifting resource economy. Don't miss Rick Rule's Gold Investor Boot Camp this Saturday! If you're serious about portfolio performance, this is your playbook. Affiliates /Tools for Success that I Love and
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$421M Silicon Merlin Deal EXPLAINED by Orogen Royalties CEO, Paddy Nicol
05/05/2025 Duración: 46minToday, Steve Barton is joined by Paddy Nicol, CEO of Orogen Royalties, for a deep-dive into one of the most pivotal royalty deals in recent history. Orogen just inked a $421 million acquisition agreement with Triple Flag Precious Metals—a deal that revolves around the crown jewel of its portfolio: the Silicon Merlin gold royalty in Nevada. Paddy unpacks the thinking behind the sale, explaining why locking in value now—before Silicon Merlin's full resource potential is realized—could be a once-in-a-decade wealth event for shareholders. But this isn’t an exit. It's a transformation. Shareholders will receive cash, Triple Flag shares, and a stake in a newly launched SpinCo holding Orogen’s remaining 27 royalty assets, a $24 million cash treasury, and the same battle-tested management team. He also highlights which hidden royalty assets may become the next Silicon—like La Rica in Colombia, Spring Peak in Nevada, and MPD South in British Columbia. Whether you’re tracking mining M&A, investing in royalty firms,
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Gold Correction = Rare Buying Opportunity! Monday Market Moves!
04/05/2025 Duración: 53minIn this episode of Monday Market Moves, Steve Barton returns with a no-hype, all-action breakdown of the market’s biggest plays. The S&P 500 shows renewed bullish momentum, bouncing off key Fibonacci retracement zones, while the Mag Seven tech titans—NVIDIA, Apple, Microsoft, Amazon, Google, Meta, and Tesla—flash short-term strength amid broader weakness. Are these signs of a reversal or a chance to sell into strength? Steve shares precise buy zones, Fibonacci targets, and insights on sector rotation into commodities, energy, and physical assets. He dissects the latest breakout in gold, which spiked above $2,400 before pulling back into ideal entry zones. Silver holds strong, copper continues its climb, and uranium miners flash strong buy signals. This episode also features analysis on the U.S. dollar, bond yields, and oil’s bearish divergence, alongside setups in natural gas and coal. A viewer Q&A closes things out with Steve’s thoughts on balancing portfolio exposure between precious metals, ener
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John Ciampaglia on Why Uranium & Silver Are Set to Skyrocket!
01/05/2025 Duración: 55minToday, Steve Barton is joined by John Ciampaglia, CEO of Sprott Asset Management! In this high-impact conversation, John breaks down how global commodity markets are being reshaped by economic turmoil, geopolitical friction, and the return of investor interest in physical assets like gold, silver, uranium, and copper. Are tariffs and trade wars masking the real risks ahead? John unpacks why growing uncertainty—not just bad news—is the biggest threat to market stability right now. He dives into how Sprott’s physical trusts give investors secure, tax-advantaged access to precious metals, stored outside the bullion banking system and structured to protect against systemic shocks. John also takes a hard look at the opaque uranium contracting market and why long-term supply issues could trigger massive upside. He makes bold calls on which commodities are still flying under the radar — and why silver and uranium are his top “value trades” heading into 2025. Whether you're trying to hedge against inflation, diversif
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Lobo Tiggre’s Top Picks: Gold, Copper, Uranium, or Silver?
29/04/2025 Duración: 55minToday, Steve Barton joined by Lobo Tiggre from Independent Speculator! In this power-packed breakdown, Lobo shares his outlook on why the economy is barreling toward a possible "Trumpcession" and how inflation risks are setting the stage for major volatility. He explains why smart investors should be positioning now — not later — with key plays in gold, silver, copper, and especially uranium. Is the market pricing in the real pain ahead? Lobo digs into why fiscal stimulus and money printing could spark a reflationary boom — or an even deeper collapse — and how both scenarios are bullish for commodities. He reveals why uranium is his highest-conviction buy for 2025, and why gold could surprise to the upside far faster than Wall Street expects. Lobo also tackles your top questions, from the future of gold-backed banking to the hidden risks in Mexico’s mining sector. Plus, he breaks down the emerging energy revolution around thorium reactors and why political risk is about to reshape mining investments worldwide
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Gold Hits NEW HIGH – Is $3,000 Next? Monday Market Moves!
27/04/2025 Duración: 59minThis week on Monday Market Moves, Steve Barton returns with a no-hype, all-action breakdown of the week’s biggest plays. The S&P 500 shows bullish momentum after bouncing off key Fibonacci retracement zones, while the “Mag 7” tech titans—NVIDIA, Apple, Microsoft, Amazon, Google, Meta, and Tesla—are flashing short-term strength within a broader downtrend. Are these rallies opportunities to sell into strength, or signs of a bigger reversal ahead? Gold exploded to another all-time high above $2,400 before pulling back sharply, creating potential golden entry zones. Silver held strong, copper continues its surge, and uranium miners are flashing serious buy signals. Steve reveals precise buy zones, Fibonacci targets, and sector rotations into commodities, energy, and physical assets. Plus, a deep dive into bond yields, the U.S. dollar, oil’s hidden warning signs, natural gas basing patterns, and coal’s surprising resilience. Viewer Q&A tackles how to balance portfolio exposure between precious metals, e