logo
episode-header-image
Jul 2
52m 56s

Talking With the Best Portfolio Manager ...

Carson Investment Research
About this episode

In this week’s episode of the Facts Vs Feelings podcast, hosts Ryan Detrick, Chief Market Strategist, and Sonu Varghese, VP, Global Macro Strategist, sit down with Barry Gilbert, VP Asset Allocation Strategist at Carson Group, for an insightful conversation on effective portfolio management strategies. Barry shares valuable perspectives on the importance of teamwork, constructive debate, and making decisive investment decisions based on clear, actionable insights. Ryan and Sonu also discuss the historical strength of the July market, providing investors with context and strategic guidance for navigating the second half of the year.

Key Takeaways

  • July Stock Market Trends and Analysis
     
    • July has historically been strong, with the S&P 500 rising 10 consecutive years in that month, and it’s notably the strongest month during post-election years.
  • Impact of Positive May and June Performance
     
    • Historically, positive returns in both May and June forecast strong market performance for the rest of the year—typically gaining around 9-10% in the final six months.
  • Effective Portfolio Management Insights
     
    • Barry Gilbert stresses the importance of constructive debate, critical thinking, and conviction-driven investment decisions in successful asset allocation strategies.
  • Carson Group’s Investment Philosophy
     
    • Barry highlights Carson’s culture of managing real money through rigorous debate and collaborative decision-making.
  • Investor Guidance and Market Volatility
     
    • Ryan and Sonu emphasize the importance of maintaining a long-term investment perspective and managing emotional reactions during short-term market fluctuations.

Connect with Barry:

• LinkedIn: Barry Gilbert

• X: @gilbert3142

Connect with Ryan:

• LinkedIn: Ryan Detrick

• X: @ryandetrick

Connect with Sonu:

• LinkedIn: Sonu Varghese

• X: @sonusvarghese

 Questions about the show? We’d love to hear from you! factsvsfeelings@carsongroup.com

#FactsVsFeelings #PortfolioManagement #InvestmentStrategies #JulyMarketRally #StockMarketTrends #CarsonGroup #FinancialPodcast #MarketVolatility #RyanDetrick #SonuVarghese

Up next
Yesterday
Midyear Market Outlook '25 (Ep. 143)
In the latest episode of Facts vs Feelings, hosts Ryan Detrick, Chief Market Strategist, and Sonu Varghese, VP, Global Macro Strategist, provide a midyear market review and outlook for 2025. Reflecting on major surprises in the first half of the year, including unexpected tariff ... Show More
51m 14s
Jun 25
It's Getting Hot in Here (Ep. 141)
In the latest Facts vs Feelings, Ryan Detrick, Chief Market Strategist, and Sonu Varghese, VP, Global Macro Strategist, discuss recent Middle East tensions involving the U.S. and Iran, the surprisingly minimal market reaction despite high geopolitical stakes, and insights into hi ... Show More
51m 51s
Jun 18
Going with the Flow with Sam Ro (Ep. 140)
In the latest Facts vs Feelings, Ryan Detrick, Chief Market Strategist, and Sonu Varghese, VP, Global Macro Strategist, are joined by financial journalist and TKer founder and editor Sam Ro. Together, they cover Sam’s background, his curated newsletter approach, emerging data-qua ... Show More
50m 45s
Recommended Episodes
Jul 2
S&P 500 Hits Record on Vietnam Deal as Tech Climbs
Watch Bloomberg Businessweek Daily LIVE every day on YouTube: http://bit.ly/3vTiACF.A rally in several big techs fueled gains in stocks, with the market extending its advance as President Donald Trump said he reached a trade deal with Vietnam. Treasuries fell as a selloff in UK b ... Show More
45m 6s
Mar 2024
Europe Market Open: RENGO announcement due imminently, APAC stocks declined post-PPI/Retail Sales
APAC stocks declined amid data-related headwinds from the US including hot PPI and weak Retail Sales.Markets await the RENGO wage announcement and its potential ramifications for next week's BoJ policy announcement.European equity futures indicate a contained open with the Euro S ... Show More
3m 41s
Oct 2024
What’s Boosting Cyclical Stocks?
Our CIO and Chief U.S. Equity Strategist explains his preference for cyclical stocks amid a rise in global money supply and current US election dynamics. ----- Transcript ----- Welcome to Thoughts on the Market. I'm Mike Wilson, Morgan Stanley’s CIO and Chief US Equity Strategist ... Show More
3m 53s
Aug 2024
Wellington's Khurana: Broad election results will impact bond yields for years
Brij Khurana, fixed income portfolio manager at Wellington Management, says that if either political party sweeps the election in November -- winning the presidency and control of Congress and the Senate -- the result will be higher bond yields, because the market will price in g ... Show More
1h 1m
Jul 2024
The Trading Floor: Nasdaq Posts Worst Day Since 2022 As Trump Rattles Markets
Midweek turmoil hit global chip stocks following reports of tighter US export restrictions and rising geopolitical tensions, spurred by remarks from former President Donald Trump. We also unpack comments from the former US President on his thoughts on Federal Reserve Chair Jerome ... Show More
29m 6s
Jul 2024
Inflation Disaster or Relief? Jared Dillian’s Dire Warning
Jared Dillian shares his urgent predictions on oil, inflation, the Fed, and the impact that the 2024 election could have on the economy. In this episode, host Andrew Brill is joined by Jared Dillian —author, trader, musician, entrepreneur, and educator. Jared discusses the pressi ... Show More
39m 44s
Nov 2024
After Trump Win, Where Do Markets Move from Here?
With a second Trump term at least partially reflected in the price of global markets, we focus on two key debates for the longer-term: Potential tariffs and fiscal policy.  ----- Transcript ----- Welcome to Thoughts on the Market. I’m Michael Zezas, Morgan Stanley’s Global Head o ... Show More
3m 10s