THE ESCALATION IN US DEBT COLLAPSE, IS DRAWING CLOSER.

This means a surge in US rates in the debt markets as a wall of rollover debt comes due around $7 Trn for 2025, plus the new issuance.

Effects of this will be:

1. Long term debt rate surges, due to US debt valuation collapse
2. A Schizophrenic sugar spike in the dollar, as a result of US debt failure and rates subsequent response. *Not a victory for the US
{Peak Milkshake strutting, USA, USA..etc..}
3. Extreme loss of buying power of all Fiats on debt collapse.
4. Massive inflation, as collapse of the debt markets and its eventual subsequent stabilisation, will lead to fiats buying power collapse once debt markets complete their adjustment
5. Real Estate and all financial leveraged assets correct violently, sports cars etc..
6. Repossessions on real estate, vehicles other financed assets hits a peak.
7. Stock market crash, especially equities with borrowings
8. Risk off, for Gold & Crypto. Corrections especially for Higher Beta Crypto.
9. Potential banking system failures US & worldwide.
10. Possible RESET

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