{"id":69061,"date":"2026-09-29T01:37:29","date_gmt":"2026-09-29T01:37:29","guid":{"rendered":"https:\/\/www.vtmarkets.com\/en-ca\/uncategorized\/dimartino-booth-flags-fed-blindspots-as-bankruptcies-rise-gold-decouples-and-commercial-property-strains-grow\/"},"modified":"2026-09-29T01:37:29","modified_gmt":"2026-09-29T01:37:29","slug":"dimartino-booth-flags-fed-blindspots-as-bankruptcies-rise-gold-decouples-and-commercial-property-strains-grow","status":"publish","type":"post","link":"https:\/\/www.vtmarkets.com\/en-ca\/live-updates\/dimartino-booth-flags-fed-blindspots-as-bankruptcies-rise-gold-decouples-and-commercial-property-strains-grow\/","title":{"rendered":"DiMartino Booth flags Fed blindspots as bankruptcies rise, gold decouples and commercial property strains grow"},"content":{"rendered":"<p>Andrew Maguire is joined by Danielle DiMartino Booth of QI Research to assess strains beneath the Federal Reserve\u2019s description of a stable economy, including pressure on small businesses, farmers and commercial real estate, alongside credit markets repricing risk levels described as unseen in decades. The discussion also traces gold\u2019s move away from its usual link to interest rates and touches on broader market behaviour, from concerns about a stock market bubble to echoes drawn with the Weimar Republic.<\/p>\n\n<p>Attention then turns to geopolitics and policy, with a focus on what a Xi\u2013Trump meeting could imply for the dollar and how the Fed may be relying on the wrong data when judging conditions on the ground. DiMartino Booth argues that political polarisation is a risk the market is not pricing, while also pointing to margin debt as an underappreciated vulnerability. The episode closes with the view that holding physical gold and silver is the preferred long-term approach.<\/p>\n\n<p>&#8212;<\/p>\n\n<h3>Rising Bankruptcies, Gold\u2019s Breakaway, and Mounting Real Estate Risks<\/h3>\n\n<p>We are seeing a massive divergence between the Fed&#8217;s public optimism and the harsh reality of rising corporate bankruptcies. Chapter 11 bankruptcy filings have surged by over 40% compared to last year as prolonged high borrowing costs finally crush smaller businesses. Derivative traders should immediately hedge against this widening credit risk by positioning for a sudden spike in high-yield credit default swaps.<\/p>\n\n<p>We must also recognize that gold has completely shattered its traditional inverse relationship with real interest rates. Even with yields remaining elevated, gold has sustained its historic momentum well past $2,600 an ounce, driven by aggressive central bank purchasing and structural inflation fears. We advise traders to stop relying on legacy rate correlation models and instead buy long-gamma options on precious metals to capture this structural breakout. <\/p>\n\n<p>The danger in the commercial real estate sector is much larger than the broader market is pricing in right now. With over $1.5 trillion in commercial mortgage debt maturing through the end of this year, delinquency rates on office-backed loans have already climbed past 9%. Derivative traders should look to short commercial mortgage-backed securities (CMBS) indices or buy protective puts on regional banks with heavy real estate exposure.<\/p>\n\n<p>&#8212;<\/p>\n\n<h3>Margin Debt Dangers, Political Risk, and Fed Blindspots<\/h3>\n\n<p>We are highly concerned about underreported margin debt levels, which have quietly risen to dangerous heights and set the stage for a rapid forced liquidation event. When you combine this leverage with unprecedented political polarization, a sudden and violent market correction becomes highly probable. We recommend buying out-of-the-money puts on major stock indices to protect portfolios against this dual threat of leverage and political instability.<\/p>\n\n<p>The Fed continues to rely on lagging economic data, completely missing the stagflationary forces currently squeezing the agricultural and manufacturing sectors. To profit from this policy blindspot, we suggest using interest rate swaptions to bet on a forced, sudden policy reversal in the coming weeks. Preparing for these cracks in the credit market is no longer optional; it is a necessity for trading survival.<\/p>\n\n\n\n<p class=\"wp-block-paragraph\"><b>Start trading now \u2014 click <a href=\"https:\/\/www.vtmarkets.com\/en-ca\/trade-now\/\">here<\/a> to create your real VT Markets account.<\/b>\n\n<\/p>","protected":false},"excerpt":{"rendered":"<p>Fed optimism questioned: bankruptcies surge, CRE risks grow, margin debt and politics threaten; gold decouples from rates.<\/p>\n","protected":false},"author":87,"featured_media":69060,"comment_status":"","ping_status":"open","sticky":false,"template":"","format":"standard","meta":{"_acf_changed":false,"footnotes":""},"categories":[59],"tags":[],"class_list":["post-69061","post","type-post","status-publish","format-standard","has-post-thumbnail","hentry","category-live-updates"],"acf":{"acf_article_selection_author":null},"aioseo_notices":[],"aioseo_head":"\n\t\t<!-- All in One SEO Pro 5.0.1.1 - aioseo.com -->\n\t<meta name=\"description\" content=\"Fed optimism questioned: bankruptcies surge, CRE risks grow, margin debt and politics threaten; 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