Video summary
Trump, War & Oil: What Happens Next? | Weekly Financial Update (Part 2)
Main summary
Key takeaways
Summary (finance-focused)
Disclosures / format
- “By law, this is for entertainment purposes only.”
- Repeated reminders: “Not financial advice” (especially around crypto and “pump opportunity” discussions).
- Multiple “market makers” / “chart” forecasts are framed as probabilistic guidance rather than fundamentals.
Instruments / tickers / assets mentioned
Equities / funds
- SpaceX (discussed as a stock; no public ticker cited in the subtitles)
- S&P 500 (index), referenced near $7,500
- Mosaic Company (MOS) — score discussed
- KLA Corporation (KLA) — score discussed
- MicroStrategy (MSTR) — referenced around $96
- Apple (AAPL) — mentioned as tokenized dividend stock inside a crypto token framework
- Tesla (TSLA) — mentioned inside the same tokenized dividend framework
- “VANC semiconductor ETF” (ticker not clearly stated) — long-term semiconductor ETF, current price about $600
- Fidelity managed futures ETF (FFUT) — price about $60
- iShares World Equity Income Active (WINC) — described as similar to a “compressed S&P 500”
- Uranium and Nuclear Technologies ETF (NC) — average score
Crypto / token assets
- Bitcoin (BTC) — price range forecasts
- Solana (SOL) — multiple meme/novel tokens referenced as being “on Solana”
- Cash Cat (also referred to as Cash Cap / Cash Cat; Robinhood-linked)
- Juggernaut (Robinhood-linked)
- Tendies (GME-themed meme; Robinhood-linked)
- Index (Robinhood-linked “dividend in actual stocks” token)
- Veaya Protocol
- Project Vex
- Mintly
- Arrow (Robinhood-linked; referenced only as “Arrow”)
- Dog in Hood (DIH)
- Wishbone
- Fidel
- Fabu (on Solana)
- brain (on Solana)
- Mentions of base chain tokens (no specific tickers beyond “Toshi”)
Key numbers & forecasts
SpaceX (long-term price targets + near-term range)
Short-term (next month)
- “Lowest price”: $115–$120
- “Current” / bouncing price referenced around $135–$140 and also $140
- Resistance / EMA “holding down” around ~$145
- High over the next month framed as ~$140 (“we’re at the high”)
By end of 2026 (via “market makers”)
- Lowest: ~$105
- Highest: ~$150
Long-term commentary / framework
- Expectation that $100 is a key long-term target, possibly reached before year-end (timeline is informal/unclear).
- Strong caution: profitability/revenue timeline implied to be long; one speaker claims there’s “no actual revenue” supporting a trillion-scale valuation and profitability may require getting into the 2030s.
Explicit stance
- “I would be a buyer at the hundreds… Not financial advice… long term.”
Robinhood “chain” & memecoin ecosystem (next-3-month scoring + risk notes)
General claims
- Tokens are described as high-risk / volatile, often “pump and dump.”
- Many tokens get a 1–10 score for the next 3 months and notes on “longevity” (often “no” for many).
- Repeated caution: extreme price swings (e.g., -50% in hours, +300% on low liquidity); “don’t bet the farm.”
Specific tokens (selected)
-
Cash Cat
- Market cap: ~$200 million
- Next 3 months score: 4/10
- Longevity: implied “some” longevity (Robinhood presence); discussion includes claims of artificial attention/pumping, while also stating “Vlad/CEO” is not involved per “market makers” (speculation: “did they start it?”)
-
Juggernaut (Robinhood)
- Market cap: ~$13 million
- Score: 7/10
- Upside: 3x–5x (explicitly “not 5X” as a central expectation)
- Longevity: No
-
Tendies (Robinhood / GME-themed)
- Score: 7/10
- Upside: 3 to 5x or more
- Longevity: No
-
Index (Robinhood)
- Score: 8–9/10
- Longevity: Yes
- Mechanism:
- Token buys a basket into a treasury
- 3% of each buy goes to buying tokenized stock dividends
- Weekly dividends distributed in actual stocks (examples: Apple (AAPL), SpaceX, Tesla (TSLA); “more will be added”)
-
Veaya Protocol
- Score: 5/10
- Longevity: No
-
Project Vex
- Score: 3/10
-
Mintly
- Score: 5/10
- Longevity: No
-
Arrow
- Score: 6–7/10
- 5x+ potential: “It can”
- Longevity: No
-
Dog in Hood (DIH)
- Explicitly labeled “pump and dump”
- No score provided
-
Wishbone
- Score: 6–7/10
- Longevity: Yes
- Market cap: ~$7.5 million (spoken as “7.7 7.5 mark million market cap”)
- Upside: can 5x or more
- Warning repeated: avoid chasing; entry matters due to high volatility
-
Fidel
- Score: 2/10
-
Fabu (Solana)
- Score: 7–8/10
- Market cap: ~$3.5 million
- Upside: 5x (no expectation of 10x+)
- Mechanism:
- “AI bounties” (humans complete real-world tasks like tagging/spreading; submit proof/pictures; get paid in tokens)
-
brain (Solana)
- Described as “pump and dump”
- Timing caution: get in/out within ~two days
- Longevity: No
-
Noxa (“Noa Noxa”)
- Score: 5/10
- Longevity: No
-
Closing advice
- Only items with “longevity” might survive 2–3 years, but timing and research still matter.
Bitcoin (BTC) & macro index level guidance (weekly/monthly)
Near-term range (next week to July 21)
- “Highest price” (to July 21): ~$66–$67
- “Lowest price” (to July 21): ~$61–$62
- Directional view: likely down first toward ~$63, then range-bound
By August 14 (month view)
- Highest: ~$68–$69 (conditional: “if we’re lucky”)
- Lowest: ~$59
Chart-based schedule (Mr. Shakespeare comparison)
- “Bottom” expected in early/mid/third week of August (timing depends on alignment)
- Early August peak guess: ~$67
- Third week August: ~$59
S&P 500 (macro proxy)
- Current level cited: ~$7,500
- Early/mid August target: low $7,000s, possibly ~$7,200
- Takeaway: if buying equities, consider it around that downturn window.
Equity / ETF “5-year scorecard” style requests (no detailed strategy)
-
American Bitcoin Corporation (bitcoin miner; described as Trump family-owned mining corp)
- “Only gone down ~99%” previously; now ~$5/share (historical “thousands” mentioned)
- 5-year score: ~6/10
- Comment: “discount,” not very profitable; one view says it “does” have longevity
-
Mosaic (MOS)
- 5-year score: ~5/10
-
KLA Corporation (KLA)
- 5-year score: ~7/10
- Price cited: ~$231–$232
- Upside: “double or more” not expected; can rise “by a third at least”
-
VANC semiconductor ETF
- 5-year score: ~7/10
- Price cited: ~$600
- Upside: “double” potentially, but “just below double”
-
FFUT (Fidelity managed futures ETF)
- 5-year score: ~7/10
- Price cited: ~$60
- Upside: expects it can “double or more”
-
WINC (iShares World Equity Income Active)
- 5-year score: ~3/10
-
NC (Uranium and Nuclear Technologies ETF)
- 5-year score: ~5/10
Gold & silver levels (macro + entry timing)
-
Gold
- Previously expected “under or go under $4,000”; it “briefly” touched under $4,000
- Next month: expected to stay around ~$4,000
- Longer-term: gold/silver “going back up” toward year-end
- Entry idea: consider buying when below $4,000 (value zone), implying avoid buying at highs
-
Silver
- Expected to follow gold “to some degree”
- Reference: silver “may go up to like $60”
- Also referenced: down to $60 as an entry/value level (contrasted with a prior high ~$122)
Methodologies / frameworks explicitly described
-
Technical/indicator framework for forecasts
- Use of “lowest/highest price” projections over fixed windows (next week/month/through end of 2026)
- Mention of EMA and chart “targets” (range/hold-down concept; phrasing unclear)
-
Crypto allocation approach / risk framework (Robinhood tokens)
- Categorize by score (1–10) and longevity yes/no
- Trade logic emphasized:
- Meme/pump assets: “in and out” quickly (example: about two days)
- Longevity tokens: require good entry, don’t chase
- Strong emphasis on “don’t bet the farm” and recognizing high volatility
-
Token dividend mechanism (Index token)
- 3% of each buy allocated to buying tokenized stock dividends into a treasury
- Weekly distribution to holders in actual stocks (examples: AAPL, SpaceX, TSLA, and more added over time)
Key recommendations / cautions
-
SpaceX
- Suggested long-term buy zone around the hundreds, with a conceptual target near $100
- Caution: profitability may not materialize until the 2030s due to limited revenue backing
-
Crypto on Robinhood
- Repeated caution: super volatile and often not built for longevity
- Don’t chase “high scores” from a single day; do your own research
-
Macro timing
- For equity buyers: potential buy window in early/mid/third week of August if S&P 500 follows the chart plan (~$7,200)
- For gold/silver: avoid highs; consider value zones such as gold under ~$4,000 and silver around ~$60
Presenters / sources mentioned
- Psychic Liz Cross LLC (referenced as an organization; entertainment/copyright notice context)
- Mr. Photon (main host)
- Mr. Shakespeare (chart comparison source)
- Vlad / “the CEO” (referenced in the Robinhood context; described by speaker as CEO)
- Spirit (referenced as the entity producing answers/“market maker” style responses)