{"version":"1.0","type":"rich","provider_name":"Acast","provider_url":"https://acast.com","height":250,"width":700,"html":"<iframe src=\"https://embed.acast.com/$/679277ca23d520f54109d952/6aa6ad9448975e9795171f1d?\" frameBorder=\"0\" width=\"700\" height=\"250\"></iframe>","title":"Episode 457: The Dollar's Quiet Decline, Forty Trillion in Debt, and Why Your Portfolio Might Be Exposed","description":"As the Fed faces a coin-flip decision on rates Tuesday, the U.S. national debt has crossed $40 trillion with annual interest payments now exceeding the entire defense budget. Meanwhile, a structural shift is underway: 84% of central banks expect gold to comprise more of their reserves, the dollar has fallen 10% year-over-year, and foreign investors are hedging their dollar exposure at record levels. Yet most American investors remain over 80% concentrated in domestic, dollar-denominated assets—leaving them exposed to a currency risk that institutional investors are actively protecting against. This episode decodes the quiet reversal of the dollar's decade-long strength and what it means for your portfolio.","author_name":"Brian Swichkow"}