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Silver Secrets: Why David Morgan Says a Massive Monetary Reset Is Here

David Morgan discusses whether the global financial system is already moving toward a major financial reset and why central banks are steadily accumulating gold as confidence in the U.S. dollar weakens. He explains why gold remains the preferred monetary asset for central banks, while silver may offer greater upside because of its growing industrial demand and tighter market dynamics.

The conversation also covers how investors might allocate precious metals based on age, risk tolerance, and portfolio size, with Morgan viewing a 10% allocation as a conservative starting point. He outlines his case for silver eventually reaching $150 and possibly $200, while emphasizing disciplined buying, avoiding emotional all-at-once purchases, understanding dealer buyback policies, and knowing when to take profits or rebalance between silver and gold.

Morgan ultimately argues that physical gold and silver are not simply investments, but tools for preserving purchasing power and financial autonomy as the monetary system becomes increasingly digital. He believes the gradual move toward gold could eventually accelerate into what he describes as an “all-out sprint.”

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