It was a pleasure to host a conversation with Hari Krishnan, Head of Volatility Strategies at SCT Capital, on the changing nature of volatility markets, portfolio hedging, and why commodities may offer increasingly valuable diversification in today’s environment.
Hari reflects on his book Second Leg Down, which explores practical approaches to tail-risk hed ... Show More
Apr 13
Robert Kaplan, Vice Chairman of Goldman Sachs, and former President of the Dallas Fed
It was a pleasure to welcome Rob Kaplan, Vice Chairman of Goldman Sachs, and former President of the Dallas Fed, to the Alpha Exchange. We begin with Rob’s reflections on his time at the helm of the Dallas Fed from 2015 to 2021, a period spanning rate liftoff, fiscal stimulus, an ... Show More
51m 54s
Apr 7
Wayne Dahl, Co-Portfolio Manager, Oaktree Capital Management
It was a pleasure to welcome Wayne Dahl, Co-Portfolio Manager of Global Credit Strategy at Oaktree Capital Management, to the Alpa Exchange. We begin with Wayne’s path through convertible arbitrage, structured credit, and multi-asset investing, and how that foundation informs a f ... Show More
52m 2s
Apr 2
Alpha Exchange 250th Episode: A Retrospective
Welcome to Episode 250 of the Alpha Exchange. To celebrate the milestone, I asked my dear friend, Jon Kalikow, to host the conversation, switching seats and having me as the guest. I launched the podcast in 2018 with a simple idea: to create space for long-form conversations that ... Show More
1h 2m
Aug 2025
Market Volatility: Investors Are Seeking Safety in Gold ETFs. Is It Working?
<p>Investors are piling into global gold ETFs for a safe haven from uncertainty. Demand surged in the first half of 2025, according to a new report from the World Gold Council. The industry trade group points to geopolitical turmoil, global trade policies, and higher gold prices ... Show More
12m 25s
Sep 2025
Equities rebound and gold reaches another all-time high
Markets faced a turbulent week, starting with caution amid hawkish Fed commentary and trade tensions, but ending on a more optimistic note thanks to a solid US inflation report. Global equities rebounded on Friday, though US equities still closed the week in negative territory. I ... Show More
10m 17s
Oct 2025
Gold vs. Bitcoin: Which is the real safe bet?
Gold (GC=F) fever is back, and it’s changing the rules of the 2025 market rally. In this episode of Stocks in Translation, On Course Consulting CEO Michaella Gallina joins host Jared Blikre and Senior Reporter Allie Canal to discuss the latest on Wall Street, specifically the gol ... Show More
23m 58s
May 2025
Dollar, Treasuries and Stocks extend slide on fiscal concerns
Send us Fan MailDollar extends slide as Trump’s bill seen ballooning US debt. Treasuries fall as well, 30-year yield climbs to highest since Nov. 2023. Wall Steet closes lower, gold and other safe havens gain. Oil pulls back as US and Iran prepare for new round of talks.Risk Warn ... Show More
3m 58s
Sep 2025
Long term yields spike on fiscal concerns – stocks dive and gold rallies
Global long-term government bond yields spike amid renewed concerns over fiscal sustainability. This has put pressure on equities, which declined broadly – though certain sectors held up better, including luxury stocks. In the US, both major indices ended the session lower, thoug ... Show More
12m 41s
Mar 2025
Mood improves as equities rebound but gold and dollar stay bid
Send us Fan MailTariff chaos pushes gold above $3,000, dollar advances too. But some easing in risk-off mood after US government shutdown averted. US futures turn higher, Chinese stocks rally on consumption stimulus. Euro drifts lower amid US-EU tariff battle and German debt brak ... Show More
4m 11s