Posted originally on Jan 10, 2026 by Martin Armstrong |
In the past few days, Iran has experienced the biggest protests against the ruling Islamic Republic since it crushed the 2022. The rial has fallen by more than 90%—but that dramatically understates the disaster. The real decline is closer to 97-98% depending on your baseline. The regime is the weakest it has ever been. All its proxies, from Hezbollah to the Assad regime in Syria, have been shattered across the Middle East. Tehran and much of the rest of the country are running out of water; the economy is in sharp decline; and more Iranians are going hungry, especially members of what was once the middle and upper-middle classes.
Empires Fall in Economic Crisis
The most recent protests were triggered by deteriorating economic conditions, but they are the most recent manifestation of deeper-rooted public anger against the regime. The immediate trigger for these protests appears to have been a budget bill, rejected by parliament, in which the government proposed removing the preferential exchange rate (285,000 rials to the U.S. dollar)—a mechanism widely viewed as a rent distribution channel. Regime-connected networks profit from the spread between official/preferential rates and the open market. While the preferential rate is widely viewed as a corrupt insider deal for regime-connected networks, many households also feared that removing it—without a credible, transparent replacement—would immediately raise prices for basic goods. That mix of rage at corruption and anxiety about inflation turned the debate over the exchange rate into a trigger for protest.
The rapid depreciation is compounding inflationary pressures, pushing up prices for food and other daily necessities and further straining household budgets, a trend that could be intensified by a gasoline price change introduced in recent days. Currency traders in Tehran quoted the dollar above 1.3 million rials, underscoring the speed of the decline since Dec. 3, when the rial hit what was then a historic low. The timeline of collapse unfolded with accelerating momentum:
December 3, 2025: Rial hit what was then considered a historic low December 13, 2025: New gasoline pricing system implemented December 14, 2025: Dollar breached 1.2 million rials December 16, 2025: Dollar reached 1.31 million rials December 31, 2025: The Iranian Rial breached a catastrophic psychological barrier. It reached a record low of 1.45 million rials to one US dollar January 7, 2026: The US dollar quoted at about 1.47 million rials
The historical record is brutal: no government has survived intact when their currency collapsed by 90% or more in a month. The pattern is absolutely consistent across history. When you look at the worst hyperinflations in history, government survival or legitimacy becomes impossible.
Weimar Germany (1923): By late 1923, prices were rising over 30,000% per month, doubling every few days, and this hyperinflation completely wiped out the currency—it had to be replaced with a new Rentenmark to restore stability. This economic turmoil fostered extreme political movements and ultimately played a role in the rise of Adolf Hitler and the Nazi Party The National Interest. The Weimar Republic didn’t survive—it was replaced by the Nazi dictatorship.
Zimbabwe (2007-2009): Zimbabwe’s peak month of inflation is estimated at 79.6 billion percent month-on-month in mid-November 2008, when a $100 trillion banknote could not pay for a simple bus fare Explorable. Between 2000 and 2008 output contracted by 40%, while government budget revenue fell from more than 28% of GDP to less than 5%, resulting in the almost total collapse in public services. Mugabe’s regime clung to power through authoritarianism, but the government effectively ceased to function as a government.
Yugoslavia (1993-1994): Yugoslavia’s rate of inflation hit 5×10^15% cumulative inflation, with one novi dinar eventually equal to 1×10^27 pre-1990 dinars. The country literally ceased to exist—it broke apart into multiple nations.
Venezuela (2013-2018): Venezuela entered hyperinflation in 2013, with inflation rates exceeding 1,000,000% by 2018. In Venezuela, millions fled to neighboring countries, creating one of the largest refugee crises in recent history. The Maduro regime survives only through authoritarianism and recent military intervention.
Why Governments Cannot Survive
The mechanics are rather straightforward. When a country’s currency “dies,” the government becomes unable to borrow from financial markets or tax its own citizens and must either turn to its central bank to finance its deficit or default on its obligations. Governments lose legitimacy when they can’t provide basic economic stability. When citizens witness their savings evaporate due to rapid price increases, frustration and anger can lead to civil unrest and demands for political change.
The currency collapse destroys the government’s ability to function. Tax revenues become worthless before they’re collected. Public employees can’t be paid. The military and police lose loyalty when their salaries buy nothing. Hyperinflations have generally occurred in nations with rampant corruption, war, regime change, a ceding of monetary sovereignty, output collapse or other extreme exogenous factors.
The Only “Survivors”
The regimes that technically survived did so by only one of two options. First is the complete currency replacement. The Reserve Bank of Zimbabwe re-priced the currency, pegging it to the US dollar Before Newton. This isn’t survival—it’s admitting defeat and abandoning your own currency. However, Zimbabwe under Mugabe and Venezuela under Maduro both were able to maintain power ONLY through force, not legitimacy. This necessitates the support of the army. I have stated often that when the army abandons the government, it falls. We saw that in Ukraine, but we also saw that in Russia during 1991.
In Zimbabwe, Mugabe was ousted, but the economic misery continues. Venezuela faces the same outlook—even if Maduro’s successor follows his policies it all depends on the support of the military. In both cases, it typically takes decades to repair the damage.
External Intervention
Most cases ended either through regime change or complete economic restructuring imposed from outside. From our cyclical perspective, this confirms what you’d expect: once confidence is lost, it cannot be restored by the same government that destroyed it. Monetary hyperinflation typically results in the complete psychological rejection of the sovereign currency. When the psychology breaks, the government typically breaks with it. Thus, the survivability of the immediate Iranian government rests in the hands of the military.
The regime’s response to the protests has already been violent and sometimes lethal, but it has ample capacity to escalate rapidly if it decides that the moment requires it. The appointment of Ahmad Vahidi as the deputy commander of the Islamic Revolutionary Guard Corps (IRGC)—the regime’s most powerful security and paramilitary force—may be a warning to the public, as Vahidi is not a regular bureaucrat; he is a hard-line security figure and one of the system’s longtime architects of repression. It will take authoritarianism with a strong hand to retain power.
The Islamic Republic is the weakest that it has ever been. But that does not mean that regime change in Iran is imminent—at least, not the type of regime change that would improve the lives of ordinary Iranians and lead to a more stable and prosperous Middle East.
Is Gold the Answer?
Iran has gold—and they’ve been aggressively accumulating it as economic insurance against Western sanctions and potential military conflict. The regime understands what Venezuela learned too late: when your currency and oil revenues are under attack, gold becomes your lifeline. What we’re talking about is one of the most sophisticated sanctions-busting operations in modern history—a scheme that moved billions of dollars through gold transactions while implicating the highest levels of the Turkish government, including President Erdogan himself.
Iran operates with multiple exchange rates and a massive black market for both currency and gold. As the Rial loses value, Iranians rush to convert their savings into dollars, gold, or cryptocurrencies, further depleting the Rial’s liquidity. This has combined with the rise in demand for gold because of the prospects of war in Europe.
According to the World Gold Council, Iran ranked as the 5th largest gold consumer globally in the first nine months of 2025, trailing only China, India, the US, and Turkey. This is remarkable given Iran’s economic collapse.
The Obama administration knew about the scheme but deliberately allowed it to continue. Why? It’s possible that the Obama administration’s decision had less to do with Turkey, and more to do with coaxing Iran into signing a nuclear deal. The backchannel negotiations with Iran reportedly began in July 2012—exactly when the gold trade was accelerating.
In the one-year period between July 2012 and July 2013, the Obama administration’s non-enforcement of its own sanctions reportedly provided Iran with $6 billion worth of gold. That windfall may have been an American olive branch to Iran—extended via Turkey—to persuade its leaders to continue backchannel negotiations.
If Iran replaces the currency with a gold-backed version, they may be able to cling to power byt that does not appear to extend beyond 2027.
In 2025, I wrote: “Our computer does NOT show that this war cycle will be subsiding. The reactions from numerous sources are real. The U.S. joined Israel in striking Iran’s nuclear sites on June 21, which was named “Operation Midnight Hammer.” President Donald Trump wrote, “Monumental Damage was done to all Nuclear sites in Iran.” Israel continues to target Iran’s nuclear and military infrastructure. … As our model wars, we are in the final up-leg of Iran, where we are likely to see the overthrow of the government in 2027. However, between then and now, the government is fighting for its survival domestically, which implies that it will become more authoritarian, just as we see this same trend in all governments experiencing economic decline by 2028.”
Meanwhile, parts of Tehran are facing hour-long water rationing while other districts are hit by rolling electrical blackouts. For most people, the problem is no longer just that living is expensive—it’s that life is becoming increasingly precarious. By Jan. 8, protests and strikes had spread nationwide, with reports of demonstrations across all 31 provinces—many already battered by 2025 water shortages and years of poverty—alongside widening internet disruptions and periodic blackouts aimed at choking coordination and visibility.
Beyond the headlines, Iran faces an existential environmental crisis. Twenty provinces suffered through the country’s worst drought in more than 40 years. President Pezeshkian has openly proposed evacuating Tehran to ease strain on dwindling water supplies. Think about that statement—the president is discussing abandoning the capital city. This is not a problem that can be solved with monetary policy or military force. Climate cycles interact with political cycles, and Iran is caught in a vice between both.
The ancient Persian invention of qanats (underground aqueducts) over 3,000 years ago is a testament to Iran’s long-standing struggle with aridity and its ingenious adaptation to water scarcity. Historians argue that the decline of some ancient Iranian cities and civilizations may be linked to climatic shifts and droughts. The Qanat system represents an ingenious ancient solution to the challenge of water scarcity in this region. These were underground aqueducts, comprising a network of well-like vertical shafts interconnected by gently sloping tunnels, harnessed groundwater to sustain communities.
Naturally, the Global Warming zealots are attributing this to CO2 without any evidence ever. The historian Polybius (c. 200–118BC) in his Histories, recorded a severe drought and famine in Persia around 220BC during the reign of the Seleucid king Antiochus III. He describes it as a major catastrophe affecting livestock and people. Cassius Dio (c. 155–235AD) in his Roman History, mentions a devastating drought in Parthian Persia around 36AD that caused widespread famine and weakened the kingdom. These two events were 256 years apart. If we look back 256 years from today, sure enough we see the most well-documented crisis in this period was the Great Famine of 1770-1772 (approximately 1184-1186 AH).
The drought directly caused a devastating famine in modern recorded history between 1770-1772. Historical chronicles describe extreme suffering with a drastic reduction in the population. Some contemporary reports indicate that in regions like Isfahan, the mortality was so high that there were not enough people left to bury the dead. There were also reports of cannibalism and starvation in cities like Shiraz, the Zand capital, are recorded by historians of the period. The famine caused a major demographic setback, depopulating villages and disrupting agriculture and trade for years. It severely weakened the stability and resources of the Zand dynasty.
This event is noted in several Persian chronicles of the Zand and later Qajar eras (like Ruznama-ye Mirza Mohammad Kalantar and Mojmal al-Tawarikh), as well as in the accounts of European travelers and East India Company agents stationed in the Persian Gulf. Modern historians like John R. Perry have analyzed these sources to confirm the famine’s scope.
Posted originally on Jan 9, 2026 by Martin Armstrong |
The Russian Foreign Ministry on Thursday rejected the latest US-backed offering to end the Russia-Ukraine war, issuing a damming rebuff that illustrates that Putin would have to be insane to accept any peace deal at this stage in the game with Ukraine because it would NEVER resolve this conflict. Moscow’s Ministry of Foreign Affairs slammed the US-European proposal for security assurances for Ukraine, saying the protection plan amounts to “a true axis of war.” This is what I warned about on the Private Blog.
I warned that with the UK and France sending in troops as soon as a ceasefire is agreed was a guarantee that no such ceasefire would take place for this would be effectively sending in NATO troops into Ukraine. Europe has ZERO intension of EVER seeking peace or a normal relationship with Russia returning to the world economy. This is a guarantee of PERMANENT war. Russia’s comment was clear:
“The document turned out to be extremely far from a peace settlement. The declaration is not aimed at achieving a lasting peace and security but rather at continuing the militarization, escalation and further conflict aggravation.” “Its core element is the deployment of ‘a multinational force’ on Ukrainian territory that the coalition will have to form to contribute to the ‘rebuilding’ of the Ukrainian armed forces and ‘support deterrence’ following the cessation of the hostilities.”
The Ukrainian long-range strike campaign has continued hitting Russian oil, military and infrastructure targets. Importantly, for a 48-hour period this week, the Ukrainians were able to shut down all of the airports in the Moscow region and force the Russians to shut down their mobile phone networks across the same area. Given the massive population of the Russian capital, this will be noticed by the populace. Ukraine is is claiming it is defeating Russia shutting down Moscow’s airports and mobile networks for two days. That’s the action of a country with operational capability striking deep into enemy territory with impunity using targeting from the United States and UK. Clearly, this is like hiring a contract killer to eliminate someone and then claiming you did not pull the trigger. Ukraine has no long-range targeting capability without eyes in the sky.
The Venezuela Invasion:
The Monroe Doctrine was a cornerstone U.S. foreign policy statement, proclaimed by President James Monroe in his annual address to Congress on December 2nd, 1823. It declared the Western Hemisphere closed to future European colonization and interference, while pledging that the United States would not interfere in existing European colonies or in the internal affairs of Europe. Donald Trump has essentially asserted the same doctrine targeting both China and Russia to expel them from this hemisphere.
Ironically, to be objective, that justifies Russia taking all of Ukraine and it also justifies China taking Taiwan. We can’t have it both ways. But the Neocons see the US as dominating the world whereas Trump’s Chief of Staff Miller recognized that the world is divided among three empires – US, Russia, and China.
China’s Foreign Ministry has responded to U.S. President Donald Trump’s statement that he’d be “very unhappy” if Beijing attacked Taiwan.
“Taiwan is an inalienable part of China’s territory. How to resolve the Taiwan question is a matter for the Chinese ourselves. … This is China’s internal affair that brooks no external interference.”
What China will do now is most likely, if I were them, would impose a total embargo preventing anything from leaving or entering. I would suspect that it would take about 90 days. I would suspect that China has just been given the Green Light thanks to Donald’s Doctrine. They could act as soon as April.
The Tanker Seizure:
American Coast Guard and military forces (assisted by the UK) undertook a boarding operation to seize one of Russia’s shadow fleet tankers, the Bella 1, in the north Atlantic. This vessel was sanctioned by the U.S. under its counter-Iran sanctions, aimed at stopping Iran from fueling instability in the Middle East through the profits of illegal oil sales and was linked to international terrorism and crime including Hezbollah. Yet this is debatable. The ship went through the Suez Canal and a ship of this size could only do so if it was empty.
The United States with the aid of the UK just boarded and seized a Russian-flagged vessel on the high seas. Russia did nothing but the US agreed to send the two Russian crew members to Russia. This was clearly a strong-arm tactic against Russia. John Healey made the dumbest bullshit excuse I have ever heard in 50 years. How does an empty tanker on its way to Russia threaten Britain and the British people? This is the most absurd excuse I have ever heard. Then any empty tanker on its way to to or from Russia on the high seas threatens the British people?
The Strategic Message: Weakness Disguised as Strength
NATO is now claiming that Putin fired an Oreshnik at Lviv—a city less than 70 kilometers from the Polish border and NATO territory. The message was supposed to be: “We have hypersonic nuclear-capable missiles and we’re willing to use them close to NATO borders. Be afraid.” They are spinning this as Russia needed to demonstrate military capability because its credibility had collapsed across multiple theaters simultaneously. Venezuela, Syria, Iran—every Russian client is falling or under severe pressure. The shadow fleet is being seized. Ukrainian drones are shutting down Moscow. NATO insists that their military analysts are skeptical of Oreshnik’s actual battlefield value. While Putin keeps warning about nuclear war, they insist that this is all hype and pay no attention because they can take Russia with one hand tied behind their back.
The Oreshnik strike is the military equivalent of shouting “I’m still relevant!” while everyone watches Putin lose influence globally. NATO wasn’t impressed. EU foreign policy chief Kaja Kallas said the strike shows that “Putin doesn’t want peace” and called it “meant as a warning to Europe and to the U.S.” Kallas is as ruthless as Zelensky. She represents why there can NEVER be any peace with Russia.
Kallas has openly called for the destruction of Russia. She has stated that Russia is too big and needs to be broken up. She personally hates Russians not much different from Zelensky. This remains as a major obstacle to peace.
The U.S.-led efforts to end the war in Ukraine have entered a pivotal stage and is exposing that there will NEVER be peace between the EU abd Russia. This is critical. Peace negotiations are at this point pointless for the EU is seeking to install NATO troops into Ukraine under the pretense of peace-keeping when in fact it was Kiev that started this war 0 not Putin nor Russia.
John McCain, the godfather of Neocons, was there advocating the revolution in 2014 and lied to the people telling them this was about them and nobody else and it was about the peace that they deserved. There was peace with Russia. I believe McCain hated Russians because he was captured in Vietnam and was broken reading propaganda for the Vietnamese.
Robert McNamara admitted before he died that they assumed Russia was behind Vietnam but they were wrong. This has infected the Neocons who have grown up hating Russians all on a false assumption. This is what colored the Cold War and it is to this day warning that the European Union is seeking World War III because of people like Kallas who are wrapped up in personal hatred that she cannot see that she is condemning Europe and this EU experiment to its final destruction.
The Larger Pattern: The Cycle of Escalation
Russia used the Oreshnik missile on Lviv overnight January 8-9, 2026, hitting an underground gas storage facility in the first ballistic missile strike on Ukraine’s western region. This marks only the second use of Russia’s newest intermediate-range weapon system.Lviv is significant because it’s Ukraine’s westernmost major city—less than 70 kilometers from the border with the European Union. Hitting it with a nuclear-capable missile sends an unmistakable message to Poland, Slovakia, Hungary, and Romania: You’re within range despite NATO saying don’t worry.
But don’t be distracted by the technical capabilities or the psychological warfare. Focus on the strategic context: Russia deployed this weapon after suffering humiliating failures in Venezuela, Syria, and even Moscow itself. The strike represents Russia responding to the Donald Doctrine. NATO wants to claim this is an act of desperation or weakness. But this is boasting their strength and desire to invade Russia as soon as they can.
NATO insists that the mathematics show that Russia’s global position is weakening across multiple theaters simultaneously. Its client states are falling. Its deterrence is failing. Its economic warfare through shadow fleets is being countered. And its response is to fire expensive, irreplaceable missiles at gas storage facilities to prove it’s still dangerous.
However, if we assume that Russia is now weakened dramatically, then the behavior of a declining power trying to convince everyone—including itself—that it still matters is far worse. Like a wounded animal, it will fight to the death and is most dangerous when cornered. There are two sides to that coin.
The cycle suggests further escalation is coming. NATO likes to project Russia is just a injured fly to be swatted. When Kallas tried to threaten China to abandon Russia, Wang Yi respectfully stated that China had no intention of standing idly by and watching Russia lose. He stated that China believes that if Russia were defeated, the EU and NATO would turn on China next. This idea that the EU and NATO can destroy and break up Russia with no other impact is the linear thinking of madmen.
The NEOCONS have won. They used Ukraine to revive the Cold War that they want to make RED HOT. This has all been forecast by our computer and it is certainly nothing I would like to see. This is not my OPINION. I have long hoped that if I scream loud enough then perhaps I could prevent it. That has been a fool’s dream. I have never been able to defeat the computer yet.
Watch the next days carefully into February and then April followed by June/July. If peace talks are more likely to break down, and I would expect more Oreshnik strikes or similar escalatory moves. I just find it curious that NATO keeps claiming Russia is weak and there is no threat. They seem to be talking out of both sides of their mouth.
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