Gold Down 9.6% Silver Down 14.4% Market Shock ~ Monday Market Moves
Release Date: 03/22/2026
In it to Win it
David Skarica, a veteran contrarian investor and author known for his macro market insights, returns to break down the current state of global markets amid rising geopolitical tensions and shifting monetary expectations. π π π© π Recording Date 3-24-2026. In this episode, David explains how recent moves in gold, silver, and oil reflect deeper structural changes rather than short-term noise. Drawing from decades of experience studying market cycles and investor psychology, Skarica highlights why he moved heavily into cash and defensive positioning. He also shares how...
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In this weekβs Monday Market Moves, I walked through a broad breakdown of the markets, starting with the S&P 500, which fell 1.9% and confirmed a continued downtrend after failing at the 200-day moving average. π© π© π Recorded on 3-20-2026. I explained why I expect further downside toward the 6,000β6,100 range as volatility remains elevated and yields move higher. I also highlighted weakness in the dollar and how macro factors like global tensions and liquidity pressures are influencing market direction. Overall, my outlook for equities in the near term remains bearish,...
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Doomberg joins the discussion to break down the surprising stability in oil markets amid the Iran conflict and the disruption of the Strait of Hormuz, revealing why prices remain anchored near $95 WTI despite one of the most significant geopolitical shocks in decades. π π© π Recording Date 3-16-2026. In this interview, Doomberg explains how the global oil market is absorbing a potential multi-million barrel per day supply disruption through a combination of excess global capacity, strategic petroleum reserve releases, and rapid production responses from regions such as U.S. shale,...
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In this weekβs Monday Market Moves, I review the biggest developments across global markets and explain the key signals Iβm watching as we head into the next trading week. π© π© π Recorded on 3-13-2026. I begin with the S&P 500, which moved lower during the week and is starting to show signs of technical weakness as volatility rises and the U.S. dollar strengthens. With bond yields climbing and investors becoming more cautious, I discuss why the short-term outlook for equities may remain pressured and where the next potential support zones could emerge if selling...
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Don Durrett of GoldStockData.com joins the discussion to break down the macro forces driving the precious metals market. π π© π Recording Date 3-11-2026. Drawing on decades of research into gold and silver miners, Durrett explains why structural debt growth, global liquidity policy, and limits on Federal Reserve intervention could push investors toward precious metals during the next phase of the economic cycle. Durrett traces the macro story from post-World War II U.S. economic dominance through the abandonment of the gold standard and the rise of globalism, deficits,...
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Adrian Day, founder of Adrian Day Asset Management, joins the discussion to share his outlook on global markets, commodities, and the macro forces shaping resource investing. π π© π Recording Date 3-10-2026. The conversation covers geopolitical tensions in the Middle East, how markets typically react to conflict, and why commodities such as gold and oil often move ahead of major geopolitical events through a βbuy the rumor, sell the newsβ dynamic. Day also discusses the current positioning of energy markets, explaining why oil stocks had already rallied prior to recent...
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Joe Mazumdar of Exploration Insights joins the discussion to explain how his research process identifies high-quality opportunities in the junior mining sector. π π© π Recording Date 3-9-2026. With a background in exploration geology, mining finance, and corporate development, Mazumdar focuses on combining technical analysis with on-the-ground due diligence to evaluate whether exploration projects and development companies have the potential to succeed. Mazumdar describes how his work involves reviewing companies, meeting management teams, and conducting site visits to...
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In this weekβs Monday Market Moves, I walk through what happened across the markets and what Iβm watching for next week as volatility rises. π© π© π Recorded on 3-6-2026. I start with the S&P 500, which fell about 2% and is now showing a topping pattern after breaking a key trend line. With the VIX up sharply and the dollar strengthening as capital moves toward perceived safety, I explain why Iβm leaning bearish on equities in the short term and where the next major support levels could appear if selling accelerates. From there I break down the key commodity markets....
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Magna Mining CEO Jason Jessup joins the discussion to explain how the company is advancing and consolidating high-grade copper and nickel assets in Ontarioβs prolific Sudbury Basin. π π© π Recording Date 3-5-2026. With a growing production base and a portfolio of past-producing mines, Magna is building a scalable strategy focused on low-capital restarts and strategic acquisitions. Jessup outlines Magna Miningβs current position with roughly a C$700M market cap, about C$63M in cash, and a $24M convertible note financing. The companyβs producing McCreedy West mine is...
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Teo Dechev, CEO of Mundoro Capital, outlines the companyβs copper-focused prospect generator model and how it partners with major mining companies to fund exploration while minimizing shareholder dilution. π π© π Recording Date 3-4-2026. Mundoro acquires prospective copper porphyry land packages, develops early geological targets, and then brings in large partners to finance expensive drilling programs. With roughly C$50M market capitalization, about C$4.2M in cash, and no debt, the company focuses on generating value through option payments, milestone payments, and...
info_outlineIn this weekβs Monday Market Moves, I walked through a broad breakdown of the markets, starting with the S&P 500, which fell 1.9% and confirmed a continued downtrend after failing at the 200-day moving average.
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Recorded on 3-20-2026. I explained why I expect further downside toward the 6,000β6,100 range as volatility remains elevated and yields move higher. I also highlighted weakness in the dollar and how macro factors like global tensions and liquidity pressures are influencing market direction. Overall, my outlook for equities in the near term remains bearish, with key resistance and support levels clearly defined.
In commodities, I covered sharp declines across gold and silver, both of which are now trending lower with strong downside momentum and likely heading toward major support zones and their 200-day averages. I pointed out a potential bounce setup in copper at its 200-day moving average, while uranium continues to weaken short term despite strong structural fundamentals. In energy, oil remains indecisive with a bearish tilt, while natural gas and coal appear stretched and due for pullbacks. I also discussed continued weakness in platinum and palladium, a bullish setup forming in nickel, and a potential short-term rebound in Bitcoin as momentum begins to shift.
Key Insights in this episode
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S&P 500 fell 1.9%, confirming a downtrend below support
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VIX down 1.5%, volatility easing slightly
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U.S. dollar down 1%, testing lower support levels
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Gold down 9.6%, sharp breakdown toward key support
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Silver down 14.4%, strong downside momentum continues
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Copper down 6.6%, hitting the 200-day moving average
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Uranium down 2.9%, equities nearing key buy zones
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Oil down 0.5%, showing indecision with bearish bias
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Natural gas up 1.2%, modest upside but stretched
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Coal mixed, thermal +8.5% while met coal flat
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Platinum down 3.5%, palladium down 8.5%, bearish setups
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Nickel down 1.1%, forming a bullish continuation pattern
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Bitcoin down 3%, showing signs of a short-term bounce
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Chapters
00:00 S&P 500, Dollar & Yields
02:40 Gold Breakdown & Support
09:33 Silver Selloff & Miners
15:47 Copper at 200-Day Support
18:59 Uranium Price & Buy Zone
21:19 Oil Outlook & War Risk
24:11 Natural Gas Near Reversal
24:43 Coal Stalls at Resistance
25:55 Platinum & Palladium Weak
30:00 Nickel Bullish Setup
31:54 Bitcoin Bounce Setup
32:43 Outro & Premium Service
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#CommodityInvesting #Gold #Silver #Copper #Oil #NatGas #Uranium #Bitcoin #SP500 #EnergyStocks #SteveBarton #InItToWinIt