logo
episode-header-image
Jul 7
58m 45s

Ritholtz's Maggiulli on the problem with...

CHUCK JAFFE
About this episode

Nick Maggiulli, chief operating officer at Ritholtz Wealth Management — the author of the "Of Dollars and Data" blog — says that while recoveries can happen faster now than in the past due to advances in technology and information, investors who always expect the market to bounce back quickly from any setback have learned the wrong lesson. While he is not calling for a protracted downturn, he is suggesting investors want to protect themselves; to that end, he discusses how proper diversification practically forces individuals to buy and hold something that will lose money, even when everything else is doing well. That makes it hard to do, even if it's the best path. Maggiulli also discusses achieving financial independence — and the mindset to enjoy it — and more. David Trainer, founder and president at New Constructs, resurrects some of the firm's research looking at which stocks are most in jeopardy of an earnings miss when second-quarter numbers are released in the coming weeks, and singles out one well-known gaming stock that he says is due for a miss and a big fall. And in the Market Call, Christopher Zook, president of CAZ Investments, mixes growth-at-a-reasonable price investing with his long-term thematic approach to the markets.

Up next
Yesterday
KraneShares' Ahern on the impact of a 'likely' U.S.-China trade deal
Brendan Ahern, chief investment officer at KraneShares and the author of the China Last Night blog, says that the government of China is "doing the things that Trump wants them to be doing" for domestic policy purposes, which is why he sees the signs of a U.S.-China trade deal in ... Show More
59m 34s
Jul 8
Sage's Williams: Worst case is off the table, but the market has potholes ahead
Rob Williams, chief investment strategist at Sage Advisory Services, says the economy and market have moved off of potential worst-case scenarios into "this manageable camp," where it must get through potholes and uncertainty as the economy "flirts with stall speed" in growth. St ... Show More
59m 32s
Jul 3
Economist Torres expects rate cuts, tariff clarity and more to power a bull run
Jose Torres, senior economist for Interactive Brokers, says that the economy is about to get past tariffs — "the huge negative of the Trump policy mix" — and move to lighter taxation, milder regulations, subdued energy costs, rising factory production and, hopefully, rising emplo ... Show More
1 h
Recommended Episodes
Feb 2025
Paul Singer: Activist Investing, Market Risks and Avoiding Losses
This week, Nicolai Tangen sits down with Paul Singer, legendary investor and founder of Elliott Asset Management, one of the world's most influential activist investors. Singer shares insights from his remarkable career spanning several decades, discussing how activist investing ... Show More
38m 39s
Sep 2024
Tiger Cub Rob Citrone on Milei's Argentina: A Bullish Outlook for Investors | #550
Today’s guest is Rob Citrone, founder of Discovery Capital Management, a hedge fund that invests opportunistically across asset classes in emerging and developed markets. Rob worked for Julian Robertson at Tiger Management in the mid 1990’s and managed money for the Soros family. ... Show More
50m 43s
Dec 2024
The Art of Investing
Investing has evolved over the last decade into something of an art: the canvas is complex and finding the right companies, knowing how much to invest, when to plunge in and pull back and maintaining a fine balance of risk and opportunities requires nothing less than an artist’s ... Show More
23m 24s
Nov 2024
Stan Druckenmiller: Inside the mind of a legendary investor
This week, Nicolai Tangen visits Stan Druckenmiller in New York — one of the most renowned investors of our time, known for his insights into macroeconomics and markets. In this conversation, Druckenmiller shares his approach to major trades, like his groundbreaking bet against t ... Show More
57m 56s
Feb 2025
HIGHLIGHTS: Paul Singer
We've curated a special 10-minute version of the podcast for those in a hurry.   Here you can listen to the full episode: https://podcasts.apple.com/no/podcast/paul-singer-activist-investing-market-risks-and/id1614211565?i=1000696105423&l=nb This week, Nicolai Tangen sits down wi ... Show More
10m 43s
Mar 2025
Nvidia Earnings are the Super Bowl of Business + Trump’s $5 Million Gold Card
Follow Prof G Markets: Apple Podcasts Spotify  Scott and Ed open the show by discussing Tesla’s shrinking market cap, Berkshire Hathaway’s record-breaking tax bill, and BP’s pivot back to fossil fuels. Then they break down Nvidia’s earnings, explaining why investors weren’t impre ... Show More
54m 12s
Mar 2022
Why is intraday trading so hard, Where is the ES liquidity, and When are most market moves happening (overnight), with Deepfield’s CEO, Bastian Bolesta
Who in the right mind would choose to make a living day trading stock index futures? It must be one of the most competitive, most challenging arenas out there with HFT and 10s of billions of dollars in quant strategies chasing alpha. In this week's episode, we're chatting up the ... Show More
1h 33m
May 5
Michael Sidgmore – Alternatives Go Mainstream (Private Wealth 1, EP.443)
Michael Sidgmore is the Co-Founder of Broadhaven Ventures and the creator of the Alt Goes Mainstream podcast, which explores the intersection of private markets, technology, and wealth management. His career spans early roles at Goldman Sachs and iCapital, experience building bus ... Show More
51m 6s
Feb 2025
166: Reinventing Equity Investing: James Anderson's Journey, From Scottish Mortgage Investment Trust to Managing Partner & CIO of Lingotto's Innovation Strategy
In today’s episode we have the chance to talk to one of the most successful investors of his generation, James Anderson, Former Partner at Baillie Gifford. I'm joined by Mark Wallace, MD of Rothschild & Co, who brings his expertise on US tech equities to this discussion. From 198 ... Show More
1h 14m
Feb 2025
Bigger markets, more alpha: Capstone’s Paul Britton on running a derivatives hedge fund
Capstone’s founder and CEO Paul Britton discusses evolution of the derivatives market, how he thinks about managing people and risk, and why the VIX is relatively low against a tumultuous economic backdrop. For more insights from great investors, listen to previous episodes from ... Show More
33m 18s