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Bob Moriarty

Type: Resource Investor Tracked appearances: 37
Validated speaker Strait of Hormuz

Moriarty’s recurring economic worldview is broadly anti-fiat and pro-hard-asset.

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Analyzed appearances 37
Latest appearance 2026-07-11 14:05
Most seen on CapitalCosm

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Speaker snapshot

Research profile

Bob Moriarty appears to be a long-running gold-and-silver commentator and publisher of 321gold.com who speaks as a market contrarian with a strong emphasis on hard assets, commodities, and macro crisis risk. In the supplied transcripts he repeatedly frames himself as an experienced ex-Marine and uses that background to support blunt judgments about geopolitics and military capability. His style is assertive, highly speculative, and predictive, often presenting sharp calls on turning points in gold, oil, and markets.

Economic vision

Moriarty’s recurring economic worldview is broadly anti-fiat and pro-hard-asset. He consistently argues that money printing, accelerating M2, central-bank buying, and geopolitical instability make gold and silver the preferred stores of value. He sees secular bull markets in precious metals, expects much higher gold prices over time, and treats pullbacks as buying opportunities. More broadly, he links energy shocks, the petrodollar’s decline, Treasury-market stress, and military overreach into one fragile-system thesis: U.S. power is being undermined by debt, war, and dependence on oil and diesel. His outlook is explicitly collapse-prone and crisis-oriented, with recurring warnings about inflation, shortages, famine, and systemic financial failure.

Reliability notes

  • Admin-validated speaker with linked X / Twitter profile.
  • Preview built from 37 analyzed appearances.
  • Latest tracked appearance: 2026-07-11 14:05.
  • Most often seen on CapitalCosm.
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Themes and assets

Strait of Hormuz 7 Iran war 4 gold 3 silver 3 gold breakout 2 AI bubble 1 AI stocks 1 Bank reserves forecasting model 1

Most discussed assets

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