Inside you’ll see:
• The valuation dashboard (Buffett Indicator, Tobin’s Q, CAPE, P/B) and why “long-term averages” may be misleading when you add an extra century of data.
• How index concentration, mega-cap cash-flow multiples, and extreme P/Es mirror late-stage bubbles.
• Classic warning lights: Dow Transports diverging, insiders dumping, and a yield-curve signal with a track record before major selloffs.
• Why housing weakness raises the stakes—and why Mike thinks gold & silver remain the outliers.
If you want a data-driven tour of today’s “almost everything” bubble—and practical takeaways for protecting your wealth—watch to the end.
Chapters
00:00 Bubble scoreboard across history
03:00 Buffett Indicator & “bubble century”
08:00 CAPE, Tobin’s Q, P/B—what’s elevated now
11:30 Dow Theory: Transports vs. the indices
13:40 Insider selling & yield-curve trigger
21:30 Stocks + housing: a dual risk
30:10 Why gold & silver may be next