#USNationalDebt The rising U.S. national debt continues to be a major concern for economists and investors alike. As of 2025, it has crossed unprecedented levels, driven by persistent deficits and high government spending. Many worry that this could lead to inflation, higher interest rates, and long-term economic instability. Investors are increasingly looking at inflation-resistant assets like gold and cryptocurrencies to hedge against the possible fallout. Understanding how the national debt affects fiscal policy and market sentiment is crucial for making informed financial decisions. Will the government take decisive action, or are we heading for a tipping point?