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BRICS doesn’t need to “collapse” the U.S. economy to create serious stress. This video explains the real financial channels through which coordinated BRICS actions could pressure the U.S. within a 12-month window: reduced Treasury demand, reserve diversification, alternative trade settlement, and commodity pricing shifts away from the dollar. These are plumbing changes, not headline shocks. When marginal buyers step back, the adjustment shows up in bond auctions, yields, FX volatility, and liquidity conditions. Higher yields are needed to clear debt, domestic institutions absorb more issuance, and financial conditions tighten across credit and equities. The process is gradual, but it compounds fast once underway. This video breaks down what BRICS can realistically influence in a year, which indicators confirm rising pressure, and why markets often feel the impact long before economic data turns negative. #BRICS #USTreasuries #BondMarkets #CapitalFlows #USDollar #GlobalLiquidity #MacroFinance #DebtDynamics #FinanceExplained Disclaimer: This content is for educational and informational purposes only and does not constitute financial or investment advice. Always do your own research or consult a qualified professional.