Jan 29, 2025 – Martin Armstrong dissects global macroeconomics, geopolitics, and investment strategies, challenging the notion that rising interest rates doom the U.S. stock market. His economic confidence model predicts a commodity boom...
Aug 23
Risk Assets, Inflation Hedges Fly Higher on Fed Comments
Aug 22, 2025 – This morning in Jackson Hole, Wyoming, Fed Chair Jay Powell stated that monetary policy remains restrictive and that adjustments are likely needed. While a rate cut was already widely anticipated for next month’s Fed meeting...
38m 38s
Aug 20
Beyond Chips: China’s Multi-Pronged Approach to Dominate the AI Race (Preview)
Aug 20, 2025 – Explore the decisive factors in the US-China race for AI supremacy with Woody Preucil of 13D Research and Strategy. While the US leads in chip design and AI models, China’s focus on digital infrastructure, 5G, and electricity production...
1m 52s
Mar 2025
Stock Market Uncertainty: Tariffs, Tech, and Investor Strategy
Jeremy Siegel, Wharton Emeritus Professor of Finance, discusses the latest market fluctuations, attributing recent declines to tariffs and trade tensions while also analyzing the broader economic landscape. Hosted on Acast. See acast.com/privacy for more information.
8 m
Sep 2024
Peter Schiff: Act NOW to Avoid Debt and Dollar Debacle
Crushing government debt. A deepening recession. A collapsing US dollar. Chaos in the financial markets. It could soon be headed your way. But all is not lost, either. Target the right commodities, stocks, and markets, and you won’t just come out relatively unscathed. You’ll have ... Show More
21m 36s
May 9
How Policy Shifts Fuel Wall Street’s Rollercoaster
Itay Goldstein, Wharton Professor of Finance and Economics, discusses how the Trump administration’s tariff announcements and debates over Federal Reserve independence have introduced uncertainty into financial markets, driving volatility and investor anxiety. Hosted on Acast. Se ... Show More
8 m
Jul 2024
Inflation cools, election heats up
With inflation coming down, and US elections on the horizon, what should investors be focused on now? Mike Cahill, senior currency strategist within Goldman Sachs Research, joins Jen Roth in Global Banking & Markets to discuss how markets are reacting to new CPI data, and how US ... Show More
8m 18s
Jun 27
Markets Brace for Tariffs and Look to AI for Relief
Jeremy Siegel, Wharton Emeritus Professor of Finance and Senior Economist at WisdomTree, discusses how markets are reacting to global instability, the possibility of renewed tariffs, and the Federal Reserve’s stance on interest rates, while highlighting how artificial intelligenc ... Show More
9m 44s
Oct 2024
Sam Stovall: The Election, The Fed, & The Market Road Ahead
What stocks should you buy? What sectors should you target? Ask 10 different experts and you might get 10 different answers. But Sam Stovall, Chief Investment Strategist at CFRA Research, likes to provide answers grounded in factual analysis, hard data, and historical patterns. A ... Show More
19m 6s
Dec 2024
The Great Rate Cut Rug Pull - Ep 1000
Jerome Powell's rate cut, market drops, economic risks, inflation, and the future of the economy.
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Laughing Ca ... Show More
59m 8s
Apr 2025
Navigating Economic Uncertainty: Policy Insights from a Former Fed President
Loretta J. Mester, Wharton Adjunct Professor of Finance and former President of the Cleveland Federal Reserve, shares her insights on the state of the economy, rising recession risks, and the Federal Reserve's approach to inflation and interest rate decisions in an era of uncerta ... Show More
8 m