Why 2025 Is Echoing 1979, But for Strategic Reasons
Gold’s nearly 70% rise in 2025 isn’t driven by inflation panic like in 1979. This time, the rally is powered by strategy, not chaos. Central banks are buying record amounts of gold, reducing reliance on the U.S. dollar, while global conflicts, political risk, and lower interest rates are strengthening gold’s appeal. With inflation still persistent and global debt at record highs, investors are turning to gold as a long-term store of value. Unlike 1979’s fear-driven surge, 2025 reflects a deliberate global shift toward stability.
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