Excess Returns  cover image

Darius Dale on the Fourth Turning, Fiscal Dominance, and the Case for a Melt-Up

Excess Returns

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Navigating Risk-On Market Dynamics

This chapter explores the shift to a risk-on market regime, emphasizing how inflation and deflation influence investment strategies, particularly for retail investors. Using a simplified portfolio of stocks, gold, and Bitcoin, the discussion highlights the importance of monitoring key global markets to detect momentum shifts and better predict economic trends. The speaker offers insights from empirical data that challenge traditional recession indicators, advocating for a more nuanced analysis of the economy's current resilience and growth potential.

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