
Kevin Freeman traces a 20-year warning that links Moscow conversations, the 2008 financial crisis, and today’s mounting debt and division. He explains how market shocks, short selling, and monetary expansion may fit a broader strategy of economic warfare. The discussion also examines Russia, China, BRICS, gold-backed settlement systems, and the risks of a weakening dollar. A call to action closes the conversation with steps for families and Congress to strengthen financial resilience.
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Ep 407 | Born to Own: The Power of Compound Growth

Ep 406 | Born American? The Billion-Dollar Battle Over Birthright

Ep 405 | Navigating the Fed Under Kevin Warsh

Ep 403 | America’s 250-Year Warning: Apathy, Debt, and the Fight for Liberty
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