Porter Collins, the investor portrayed in The Big Short and a former member of Steve Eisman’s team at FrontPoint Partners, joins Mining Stock Daily for a wide-ranging conversation on gold, mining equities, inflation, the Fed, fiscal dominance and where he sees opportunity—and risk—across today’s markets.
Porter explains how a career built around financials and short selling ultimately led him toward gold, commodities and mining stocks. His thesis starts with the capital cycle: after more than a decade of underinvestment, mining remains starved for capital just as physical demand and monetary uncertainty are increasing. Unlike the 2011 cycle, many leading gold producers now have stronger balance sheets, significant free cash flow and management teams that have remained disciplined despite record margins.
Trevor and Porter also dig into the Fed’s latest rate hike and why gold’s resilience alongside higher Treasury yields may signal an important change in the macro regime. Porter argues that persistent fiscal deficits have increasingly limited the Fed’s options and that continued currency debasement makes owning hard assets less about speculation and more about preserving purchasing power.
The conversation moves into potential hidden risks across private credit, commercial real estate and AI-related debt, including whether today's excesses rhyme with previous financial cycles. Porter also explains why massive AI investment could ultimately result in destroyed capital—but still create enormous physical demand for commodities like copper and energy. As he puts it: you can print money, but you can’t print a copper mine.
Finally, Porter lays out how he actually invests in miners. The discussion covers his preference for strong balance sheets, disciplined management teams, growing production and free cash flow, why Agnico Eagle, Alamos Gold and DPM Metals fit that framework, and how he uses Dundee Corp. for exposure further down the exploration and development curve.
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