Crash Proof 2.0

How to Profit From the Economic Collapse

Peter Schiff · 2009

Schiff's pre-2008 forecast of collapse, with a defensive playbook of foreign stocks, commodities, and gold for investors who share his bearish, hard-money view.

First published just before the 2008 crash it forecast, this updated edition lays out Schiff’s diagnosis of an American economy hollowed out by debt, overconsumption, and a weakening dollar. He argues the fundamentals point to a deeper reckoning and offers a defensive playbook, foreign equities, commodities, and gold, for investors who share his bearish view. Vindicated by the crisis in his readers’ eyes, it became the foundational statement of his contrarian, hard-money investing philosophy.

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