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Natural Resource Stocks

Natural Resource Stocks

267 episodes — Page 4 of 6

Sonoro Gold Just Funded A 50,000 Meter Drill Push At Cerro Caliche

Apr 9, 202619 min

Canterra Says Buchans Produced 20 Billion in Metal and the Story May Be Bigger

Apr 9, 202632 min

Hugh Agro on Revival Gold's 2.8 g over 74m at Mercur

Apr 9, 202611 min

Adrian Day Says This Is Not The Top For Gold

Apr 9, 202630 min

Gianni Kovacevic Says 10000 Gold Is Not Crazy and Silver Could Follow

Apr 9, 202651 min

Michael Gentile Why This Gold Pullback Was a Five Star Buy

Apr 9, 202628 min

Why shallow high-grade ounces could reshape the Dryden Gold story

Apr 5, 202618 min

Marc Faber Says Oil May Be Entering a Higher New Normal

Apr 5, 202630 min

Brian Miller Says Astra Has Fully Funded Catalysts And Re-rate Potential

Apr 5, 202628 min

Why La Tortilla could become the next silver feed source for Starcore

Apr 5, 202628 min

Jesse Day: The Global Monetary System Is Showing Real Cracks

Apr 5, 202644 min

Francis Hunt: Why Gold and Silver Could Get Hit One More Time

Apr 5, 202648 min

From 60000 Ounces To A Mid Tier Silver And Gold Story

Apr 5, 202633 min

Jeff Phillips on the Gold Correction and Where Junior Miners Go Next

Apr 5, 202626 min

Michael Oliver Warns the Fed Could Go Berserk as the Stock Market Tops

Apr 5, 202648 min

America’s Biggest Uranium Story Could Be NUCL

Apr 5, 202619 min

This 11% copper hit could change the ONGold story

Apr 5, 202618 min

Magna Terra Says Humber Could Be A Massive 7 Kilometre Copper Story In Newfoundland

TSX.V: MTTOTC: BRIOF Recorded on March 26, 2026 Steve Yang sits down with Lewis Lawrick, President, CEO, and Director of Magna Terra Minerals Inc., to discuss why the company believes 2026 could be a major catalyst year across its Atlantic Canada and Argentina portfolio. The interview covers the Humber Copper-Cobalt Project in Newfoundland, the Rocky Brook Project in New Brunswick, and Magna Terra’s broader strategy of advancing core projects while monetizing non-core assets to reduce dilution and preserve upside. Lawrick explains the company’s discovery focus, tight share structure, current cash position, strategic backing, and why he believes Magna Terra’s market…

Mar 29, 202634 min

Liberty Gold Gets 72.5 Per Ounce and Refocuses on Black Pine

Recorded on March 25 2026 Andy Millette sits down with Liberty Gold President and CEO Jon Gilligan to break down the company’s major Goldstrike transaction, why management was comfortable with the valuation, and how the structure strengthens Liberty Gold without forcing added pressure on shareholders. Jon explains why the deal sharpens Liberty Gold’s focus on Black Pine in Idaho, improves balance sheet confidence, and gives the team more room to think ahead on early works, long lead items, exploration around the edges, and owner team hiring. The conversation also dives into FAST 41, why the public permitting dashboard matters, and…

Mar 29, 202620 min

No U.S. Tungsten. No U.S. Antimony. Can Resolution Minerals Fill The Gap?

Recorded on March 25, 2026, Steve Yang sits down with Craig Lindsay, CEO U.S. Operations at Resolution Minerals Ltd, to discuss why the Horse Heaven Project in Idaho is drawing attention as a rare U.S. antimony, tungsten, and gold story. Resolution Minerals Ltd (ASX: RML) is an Australian-based mineral exploration company focused on advancing mineral projects with exposure to critical metals and gold. In this interview, Craig breaks down the Horse Heaven Project, the company’s discussion around high-grade antimony at surface, the historic tungsten production at Golden Gate, and the broader U.S. supply chain backdrop driving interest in domestic critical…

Mar 29, 202625 min

Rick Rule Says This Gold Stock Panic Looks Like a Buyer Opportunity

Recorded on March 24, 2026 Rick Rule joins Andy Millette for a wide-ranging conversation on one of the sharpest resets in gold equities and why he sees panic selling as opportunity for disciplined buyers with a longer time horizon. He explains why he is using a shopping list instead of trying to call exact bottoms, how discounted NAV multiples can create takeover setups, and why high-quality names can separate quickly from weaker peers after a washout. The discussion then moves into the 2026 Rule Symposium, including how attendees can prepare before arriving, why the pre-conference interviews matter, and what investors…

Mar 29, 202649 min

QE Like Youve Never Seen Before Says Alasdair Macleod

Recorded on March 24 2026 Alasdair Macleod joins Andy Millette to break down why the recent collapse in gold and silver prices may be far more misleading than most investors realize. He argues that the paper market has detached from the underlying bullion market, that speculative participation is unusually weak, and that retail demand in the Far East is still holding up despite the selloff. The conversation then moves into options pressure, backwardation, and why bullion banks may have a major incentive to keep prices suppressed into expiry and quarter end. From there, Macleod lays out a much larger macro…

Mar 29, 202625 min

Tom Luongo: Why America Is Holding Aces in the Iran Showdown

Recorded on March 23, 2026 Tom Luongo joins Andy Millette for a deep macro and geopolitical breakdown of Iran, the Strait of Hormuz, nuclear leverage, shipping insurance, and the larger fight over who really controls global chokepoints. Tom argues that most people are reading the board wrong, framing the conflict like chess when the real game is poker, with leverage, timing, and capital deciding the outcome. He explains why he believes the Strait of Hormuz matters far beyond headlines, how energy flows and financial power connect, and why he sees an older imperial system under pressure beneath the daily news…

Mar 29, 20261h 13m

Gordon Robb Says ESGold Is Built for This Pullback

CSE: ESAU | OTCQB: ESAUF Recorded on March 23 2026 ESGold Corp CEO Gordon Robb joins Andy Millette to break down why he believes the recent pullback in gold and silver has created opportunity instead of damage. He explains why ESGold chose to skip the original 500 ton per day plan and go straight to a 1000 ton per day buildout, how the company is positioning for cash flow in the third quarter of 2026, and why management believes it can advance production and exploration at the same time. The interview gets into the cash-flow-first model, why Gordon thinks too…

Mar 29, 202617 min

Copper Demand Could Crush Supply | Green Bridge Metals in Minnesota

Recorded on March 23 2026CSE: GRBMOTCQB: GBMCFFWB: J48 Steve Yang sits down with David Suda, President and CEO of Green Bridge Metals Corporation, to break down why the company believes Minnesota can become a meaningful North American copper and critical minerals story as AI data centers, grid expansion, and electrification keep driving demand higher. Green Bridge is built around known metal in the ground rather than pure speculation, and David explains why management chose to anchor the company around the Serpentine resource and a broader district-scale land package instead of betting everything on blind exploration. The conversation covers the current…

Mar 29, 202637 min

Canstar Lined Up Up To 11.5 Million For Newfoundland VMS Exploration

Recorded on March 23, 2026 Canstar ResourcesTSX Venture Exchange ROXOTCID CSRNF Canstar Resources President and Chief Executive Officer Juan Carlos Giron Jr joins Andy Millette to explain why management believes the company has materially changed its setup heading into 2026. Juan Carlos breaks down the project-level VMS Mining structure in Newfoundland, why management calls that funding non dilutive at the corporate level, and how the Golden Baie transaction with Churchill could strengthen the treasury while preserving upside through equity and royalty exposure. He also lays out why Mary March remains the flagship, why the Buchans district still matters, and how…

Mar 24, 202625 min

Leviathan Metals Sits Beside a 6 Billion Copper Asset in Botswana

Recorded on February 20 2026 Leviathan Metals trades on the TSXV as LVX and on the OTCQB as LVXFF. In this interview, Steve Yang sits down with CEO Luke Norman to break down why Leviathan has repositioned itself as a copper focused explorer and why the Central project in Botswana is the company’s flagship value driver. Luke explains the scale of the land package, the adjacency to MMG’s Khoemacau cluster, why management believes Central sits on strike with a major copper system, and why Leviathan says it is permitted and ready to drill. The conversation also covers Botswana jurisdiction, infrastructure,…

Mar 24, 202624 min

Alex Krainer on Iran Oil Shock and Why This Crisis Could Hit Food Next

Recorded on March 20 2026 Andy Millette sits down with Alex Krainer for a wide-ranging conversation on the Iran war, oil shock risk, Strait of Hormuz pressure, fertilizer disruption, food inflation, and the larger fight over natural resource control. Alex argues that the market is still underestimating the second-order effects of a prolonged Middle East escalation, especially for shipping lanes, Gulf infrastructure, agriculture, and inflation-sensitive economies. The discussion moves from immediate energy stress to longer-cycle fallout in fertilizers, crop yields, and food availability, with Europe framed as one of the most exposed regions. They also dig into the banking incentives…

Mar 22, 202652 min

Ryan Dawson Says Iran Did Not Collapse and Washington Had No Plan B

Recorded on March 19 2026 David Hunter returns to Natural Resource Stocks to explain why he sees the current weakness as a correction rather than a final top, and why he believes a much larger upside move could still be ahead. He breaks down why negative sentiment, war headlines, and profit taking may actually be helping build the next leg higher in equities, metals, and select miners. Hunter also lays out his big targets for the S&P 500, Nasdaq, Dow, Russell, gold, and silver, while arguing that oil could reverse sharply once Iran fear cools off. The conversation then shifts…

Mar 22, 202652 min

David Hunter Says This Correction Could Turn Into A Massive Second Quarter Melt Up

Recorded on March 19 2026 David Hunter returns to Natural Resource Stocks to explain why he sees the current weakness as a correction rather than a final top, and why he believes a much larger upside move could still be ahead. He breaks down why negative sentiment, war headlines, and profit taking may actually be helping build the next leg higher in equities, metals, and select miners. Hunter also lays out his big targets for the S&P 500, Nasdaq, Dow, Russell, gold, and silver, while arguing that oil could reverse sharply once Iran fear cools off. The conversation then shifts…

Mar 22, 202629 min

Greenland, Venezuela, Hormuz: One System Is Driving All Three

In this Natural Resource Stocks breakdown, Tiffany Georgopoulos explains why today’s geopolitical flashpoints make more sense when viewed as a contest between financial power and control over physical resources. She connects Greenland, Venezuela, the Strait of Hormuz, copper, oil, gold, uranium, and rare earths into one broader framework that helps viewers understand how trade routes, sanctions, capital flows, and supply chains are being reshaped. Tiffany argues that even in a digital economy, the real world still runs on fuel, metals, fertilizer, grids, logistics, and the hard inputs that keep infrastructure, AI, transportation, and industry moving. She also shows why countries…

Mar 22, 202618 min

Tavi Costa on Why Hard Assets Could Win in the Next Macro Cycle

Recorded on March 12 2026 Steve Yang sits down with Tavi Costa of Azuria Capital for a deep macro conversation on where the next hard asset cycle may be heading. Tavi explains why he believes a weaker dollar, suppressed rates, and years of underinvestment are creating a powerful backdrop for commodities, mining, energy, and agriculture. He lays out why energy could lead before food follows, why natural gas remains critical for rising electricity demand and data centers, and why he still sees major upside in hard assets over the next 5 to 10 years. The discussion also dives into twin…

Mar 15, 202640 min

Starcore CEO on Returning Capital and Refocusing Mexico Growth

Recorded on March 12 2026 TSX: SAM Steve Yang sits down with Robert Eadie of Starcore International Mines Ltd. to break down how the company has repositioned itself after spinning out its African assets and why management believes the market is still not fully reflecting the value of its Mexican production base. Eadie explains how the return of capital was structured for shareholders, why Starcore is now focused on oxide material, carbonaceous material, and La Tortilla, and how the company sees a path to more than 160 million in annual revenue over the next 18 to 24 months. The interview…

Mar 15, 202621 min

Dylan Jovine maps the two chessboards driving Iran China and global markets

Recorded on March 11 2026 Steve Yang sits down with Dylan Jovine for a wide-ranging macro conversation on why the current Iran conflict should not be viewed as an isolated event. Dylan argues there are two chessboards at work, a regional Middle East contest and a larger United States versus China struggle that shapes energy, trade, military pressure, and investor positioning. The discussion moves through the Strait of Hormuz, oil chokepoints, rare earth leverage, Taiwan war game scenarios, and why logistics still decide the balance of power. Dylan also explains why modern warfare is shifting toward speed, autonomous systems, and…

Mar 15, 202636 min

Can Sasquatch Resources Scale a Waste Rock Mining Model Across British Columbia

CSE: SASQRecorded on March 11, 2026 In this Natural Resource Stocks interview, Steve Yang sits down with Peter Smith, CEO of Sasquatch Resources, to break down why the company is pursuing legacy mine waste instead of a traditional new mine build. Peter explains how historic operations at Mount Sicker discarded material below an 8 percent copper cutoff, why those old piles may still hold meaningful value today, and how Sasquatch sees an opportunity to recover metals while cleaning up long standing environmental hazards. He also walks through the company’s broader pipeline strategy, how management evaluates projects close to surface and…

Mar 15, 202624 min

Kingsmen Went 12 for 12 at Las Coloradas and the Next Drill Push Is Starting

TSXV: KNG | OTCQB: KNGRF | FSE: TUY Recorded on March 10 2026 Andy Millette sits down with Scott Emerson for a detailed company update on Kingsmen Resources and the 2026 exploration strategy taking shape across the Parral district in Chihuahua, Mexico. In this interview, Scott explains why Kingsmen believes Las Coloradas is demonstrating both grade and scale, how the company consolidated ground around a past-producing mine, and why the first drill campaign gave management confidence to keep pushing the story forward. He also breaks down the company’s treasury strength, tight share structure, and why management believes disciplined drilling is…

Mar 15, 202632 min

Cassiar Gold Might Be the Most Mispriced Gold Story in BC

Recorded on March 10 2026 Cassiar Gold Corp TSXV GLDC and OTCQX CGLCF joins Andy Millette for a deep dive into why the market may finally be waking up to the value inside the Cassiar Gold story in British Columbia. Marco Roque breaks down how a much stronger gold price changes project economics, why Cassiar’s valuation may still look cheap relative to peers, and why the company’s brownfield advantages matter in a market that is starting to reward real optionality. The conversation also covers the value of existing mine permits, a fully owned permitted mill, road access, underground workings, and…

Mar 15, 202622 min

Jaguar Uranium Says South America Is The Last Frontier For New Uranium Supply

Recorded on March 10 2026 Jaguar Uranium Corp trades on NYSE American under JAGU, and in this interview Steve Yang sits down with President and CEO Steven Gold to break down why management believes South America could become an overlooked source of future uranium supply. The discussion focuses on Jaguar’s Argentina and Colombia portfolio, the company’s recent IPO financing. He explains the significance of Jaguar’s recent EIA approval at Laguna Salada, why Argentina’s nuclear backdrop matters, and why certain legacy uranium assets were set aside for price rather than geology. The interview also covers Colombia’s Berlin project, infrastructure and jurisdiction…

Mar 15, 202628 min

Dryden Gold Hits 15 Structures Across Gold Rock In One Hole

Recorded on March 10, 2026 TSXV: DRY | OTCQX: DRYGF | FSE: X7W Maura Kolb joins Andy Millette to break down why Dryden Gold’s latest Gold Rock result could materially change how investors view the company. In this interview, Maura explains how one hole cut across 15 parallel mineralized structures, why the deepest Big Master Two pierce point matters, and how the result strengthens continuity across the broader system. The conversation then moves into what this means for future drill targeting, how the story evolved from 3 known structures to 15 in the same footprint, and why that shift opens…

Mar 15, 202616 min

Revival Gold Says Mercur Delivered One Of The Best US Gold Hits This Week

Recorded on March 10, 2026 Revival Gold trades on the TSX Venture Exchange as RVG and on the OTCQX Market as RVLGF. Andy Millette sits down with Hugh Agro for a focused company update on why Revival Gold has been standing out with recent Mercur drill results in Utah and why management believes the project is moving down a credible path toward construction. Hugh breaks down the oxide profile at Mercur, why the recovery characteristics matter, what additional drilling is still to come in Utah, and why pending assay flow remains an important part of the story. The interview also…

Mar 15, 202614 min

Larry C Johnson on Why the Iran War Is Really About Oil and Power

Actual Recorded on March 6, 2026, Record date in opening 6th of February , 2026 is Incorrect. Steve Yang sits down with Larry C Johnson of Sonar21 for a hard edged conversation on the Iran war, US foreign policy, Israel, Congress, oil markets, and the economic fallout that could reshape the Middle East and hit the global economy. Larry lays out why he believes this conflict is about power, energy, and long running geopolitical strategy rather than the public case sold to viewers. Steve pushes on the role of Congress, Trump, propaganda, intelligence failures, the Strait of Hormuz, Qatar, the…

Mar 15, 202646 min

Doug Casey Says World War Three Is Already Here and Markets Are Not Pricing It In

Actual Recorded on March 6, 2026, Record date in opening 6th of February , 2026 is Incorrect. Steve Yang sits down with Doug Casey for a hard-edged conversation on Iran, U.S. foreign policy, empire decline, and the real risk of a wider geopolitical escalation. Doug argues that the Iran conflict is not an isolated event, but part of a larger story involving U.S. overreach, strategic chokepoints, and a world moving toward more instability. They dig into the Straits of Hormuz, global shipping and energy exposure, international backlash, and the cost of intervention as debt, inflation, and military spending keep rising.…

Mar 15, 202642 min

Why Melody Wright Says Homes Are Sitting And Housing Is Freezing

Actual Recorded on March 6, 2026, Record date in opening 6th of February , 2026 is Incorrect. Melody Wright joins Steve Yang to break down what she believes is really happening inside the US housing market right now. In this interview, Melody explains why she believes the housing shortage story is a myth, why inventory is suddenly starting to move, why days on market matter more than headlines, and why appraisals, rental weakness, and credit deterioration are all pointing to deeper problems beneath the surface. She also discusses Airbnb pressure, multifamily vacancies, hidden delinquency issues, non-bank lending, demographic shifts, and…

Mar 15, 202643 min

Silver’s 45-Year Breakout Is Real and It’s Only Beginning

Recorded on February 26 2026 Silver just cleared a structural ceiling that capped it for decades, and Christopher Aaron says the setup is only getting started. In this conversation with Natural Resource Stocks host Steve Yang, Christopher breaks down why the 45-year consolidation matters, how supply gets tightened by real-world industrial consumption, and why long base-building phases tend to produce the most explosive next legs. He walks through his long-term chart work on silver across centuries, explains how he frames consolidation zones versus blow-off phases, and shares the macro chart he watches most closely: the Dow priced in ounces of…

Mar 1, 202650 min

Antimony Surprise Alongside Silver And Gold At Sierra Plata J2 Metals

TSXV JTWO, FSE OO1Recorded on February 24 2026 J2 Metals CEO Thomas Lamb joins host Steve Yang to break down how J2 is building a tightly structured, multi project exploration company with near term catalysts across Mexico, Quebec, and Alaska. The conversation leads with Sierra Plata in Mexico and the specific drill logic management wants to test first, drilling under historic mines and workings to see whether the veins strengthen at depth before stepping out into deeper regional targets. Thomas explains how the district setting, nearby operating activity, and potential processing optionality inform the early program design and what success…

Mar 1, 202624 min

Gold Does Not Need Trust Keith Weiner on Money Bitcoin and the Dollar

Recorded on February 25 2026 In this interview, Keith Weiner of Monetary Metals breaks down why gold keeps reasserting itself as money when confidence in policy and payment rails gets tested. The conversation starts with a blunt point most investors miss: in true settlement, gold can eliminate trust requirements, and that changes how you think about monetary competition. Keith challenges popular narratives around scarcity and value, then pivots into the mechanics of currencies, reserves, and why the dollar can remain dominant even as the world trends toward de fiatization. Steve and Keith map the BRICS discussion to real world constraints,…

Mar 1, 202644 min

Gold Pour Tomorrow: Borealis Is Back In Production (BOGO / BORMF)

TSXV: BOGO | OTC: BORMF | FSE: L4B0Recorded on February 25, 2026 Borealis Mining CEO Kelly Malcolm joins Andy Millette for a hard-nosed update on what matters most right now: real gold pours, real operating momentum, and a project that is heavily levered to the gold price. Kelly explains why Borealis expects gold pours to increase in frequency (and hopefully size) as more ore hits the leach pad, and why the company intentionally avoids “value-of-the-bar” style announcements that can get dicey with timing and pricing. The conversation then turns to the updated Sandman economics—what stayed the same, what was updated,…

Mar 1, 202616 min

Silver False Breakdown Then Explosion The Pattern Patrick Karim Watches

Recorded on February 24 2026 Steve Yang sits down with Patrick Karim of Northstar Badcharts to break down what the charts are signaling across silver, crude oil, and energy equities. Patrick explains why long sideways bases and false breakdowns can wipe out morale right before the sharpest upside moves begin, and how he looks for confirmation and clean invalidation instead of guessing. They walk through the oil complex and energy leaders like Exxon to show how price action can tip its hand before headlines hit. You also get Patrick’s cross asset framework using ratios and long duration yields to build…

Mar 1, 202646 min

AI Data Centers Are Keeping Coal Plants Running With Matthew Warder

Recorded on February 24 2026 #Millettian AI era electricity demand is forcing investors to rethink coal. In this conversation Steve Yang sits down with Matt Warder of The Coal Trader to break down why data center buildouts can keep baseload generation in focus and why coal fundamentals still move on old-school commodity constraints like supply lag, infrastructure, and policy. Matt explains the key split between thermal coal for power and metallurgical coal for steel and why each market has its own cycle, catalysts, and price sensitivity. They dig into the storage bottleneck, what it would take for coal plants to…

Mar 1, 202645 min

Ecora Royalties ECOR 50% Copper Exposure Explained by CEO Marc Bishop Lafleche

LSE: ECOR | TSX: ECOR | OTCQX: ECRAF Recorded: February 23, 2026 Ecora Royalties CEO Marc Bishop Lafleche joins Andy Millette to explain how Ecora has shifted from a legacy coal-heavy mix to a copper-led, critical-minerals royalty portfolio. Marc breaks down why copper is ~50% of portfolio value today (estimated NAV), what made 2025 a “landmark year” (including ~$57M portfolio contribution), and how the company thinks about “layering” growth through producing royalties/streams plus upcoming milestones. We also cover why royalties can benefit from top-line growth even as mine build costs inflate—and what operating leverage looks like in a lean royalty…

Mar 1, 202617 min