This episode dives into a pivotal week marked by global trade tensions, minimal economic data, and the upcoming Q2 earnings season. Ray and Mark break down the impact of potential U.S. tariffs, the FOMC minutes, and what investors should watch as S&P 500 companies report. Expect sharp analysis and real-world examples to help you navigate the markets.
Jul 3
Market Moves and Fiscal Fireworks
This episode unpacks the Q2 2025 rally, the impact of the One Big Beautiful Bill Act, and key sector shifts. Ray and Mark break down how fiscal policy, tech volatility, and upcoming data releases shape the market outlook. Expect clear insights, relevant examples, and expert conte ... Show More
6m 41s
Jun 14
Tariffs, Tensions, and Turbulence
This episode breaks down the economic and market impacts of the One Big Beautiful Bill Act, recent financial market volatility, and the latest inflation data. Join Ray and Mark as they analyze key policy moves, market reactions, and what investors need to know now.
6m 51s
Mar 2025
The Trading Floor: Breaking Down the Latest Sell-Off in Markets
Markets just took a hit, why? In this episode, Anthony and Piers break down the latest global market sell-off, unpacking the forces at play. From fresh tariff announcements and critical CPI data to technical market trends and Trump’s strategic economic moves, they dissect what’s ... Show More
29m 45s
Apr 11
The Psychology of Trump, of You, and of Markets
Today's Post - https://bahnsen.co/42qYsnP
Navigating Severe Market Volatility: Insights from Dividend Cafe
In this episode of Dividend Cafe, the host delves into strategies for handling severe market volatility amidst four-digit market declines triggered by the Trump administrati ... Show More
19m 8s
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
Oct 2024
Navigating Market Shifts: Fed Rate Cuts, Commodities, and Rising Food Prices
In this week's episode of the Saxo Market Call, host Søren Otto and Head of Commodity Strategy Ole S. Hansen dive deep into the impact of the Fed's recent rate cut on market performance. They explore how commodities like oil, gold, silver, and copper are reacting to these economi ... Show More
28m 15s
Aug 2024
MM #221: What’s Next for Investors: Recession Proof Stocks, Market Predictions, Gold, Crypto, & Nasdaq Bottom
In this power-packed episode of Market Mondays, we explore some of the most critical and timely financial topics affecting today's markets. First, we dive into the complexities of the Yen carry trade—discussing whether it's truly over or if there are more potential financ ... Show More
1h 59m