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Dollar collapse fears are growing as global investors question U.S. debt discipline, trade policy shocks, and long-term credibility. In this video, an economist breaks down what Trump’s true legacy could mean for the dollar system—why confidence can erode quietly, then break fast through FX moves, higher risk premiums, and tighter global liquidity. We connect the macro chain reaction: deficits, refinancing pressure, bond demand, real yields, and how a weaker dollar can change inflation dynamics and global capital flows. You’ll also see the key warning signals to track (DXY trend, Treasury auctions, funding stress) and what this setup could mean for gold, silver, and risk assets next. *Timelapse (24:47)* 00:00 Hook: “dollar collapse threat grows” 01:30 What “collapse” really means (mechanics, not hype) 04:10 Trump legacy: policy shocks & confidence channels 07:10 Debt + refinancing pressure: why it matters now 10:10 Treasuries: demand, auctions, risk premium 13:20 Dollar moves: capital flows & global stress 16:10 Inflation vs deflation pathways 19:10 What this means for gold & silver 22:10 Key signals to watch next week 24:00 Final recap *Hashtags* #Dollar #USD #DollarIndex #DXY #Treasuries #BondMarket #DebtCrisis #Macro #Inflation #RealYields #Liquidity #Gold #Silver #SafeHaven #FX #MarketOutlook #RiskManagement #Geopolitics *Keywords* dollar collapse threat, trump true legacy, economist explains dollar, USD outlook, DXY forecast, treasuries falling, bond market risk premium, US debt refinancing risk, treasury auction demand, funding stress signals, liquidity tightening, real yields impact, inflation expectations, de-dollarization trends, safe haven rotation, gold reaction to dollar, silver reaction to dollar, macro market breakdown, currency crisis risk, financial system stress