Japan’s 10-year government bond yield touched 3% for the first time in 30 years as a global bond selloff deepened. Steve Bannon frames it as the eve of the world’s largest margin call. Eric Bolling joins on the Japanese bond market, carry-trade risk, and what the CR means for U.S. rates.
The Trump administration’s Venezuela oil pact—called the biggest oil deal in history—covers tens of billions of barrels, long-term field rights, and a U.S. offtake stake. Bannon argues the scale and duration reset America’s energy map and reduce leverage the Middle East has held over U.S. policy.
The House is expected to move a short-term continuing resolution this afternoon so members can leave town—possibly until after the holidays. Bond traders are already pricing what another stopgap does to deficits, issuance, and fiscal credibility.
Geopolitics, capital markets, politics, culture, and immigration—Tuesday, 1 September 2026.
Host: Steve Bannon
Will a Japan-led bond shock force Washington to face the debt—or will another CR just kick the can past the midterms?
#WarRoom #SteveBannon #BondMarket #JapanBonds #Venezuela #OilDeal #CR #CapitalMarkets #Geopolitics #RealAmericasVoice
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