In this episode, financial expert Michael Pento delves into the potential impacts of rising interest rates, spiking bond yields, and economic instability on the stock and housing markets. He discusses his cautious investment strategy, emphasizing the risks associated with the current economic environment, including potential market declines and the stability of the treasury complex. Pento also debates the effects of deregulation, tax policies, and the vulnerability of a debt-saturated economy. Whether you’re an investor or just curious about economic trends, this discussion provides valuable insights into navigating financial uncertainties in the coming year. If You would like to do business…