Volatility is back just in time for the October scaries as new tariff threats rattle investors just as the markets reached new record highs. Is this a re-do of the April selloff, or the beginning of the bursting of a bubble in risky assets? Barry Ritholtz the original Blog-Father, and author of “How Not to Invest”, drops in with his perspective and the key lessons he’s learned about how ‘not’ to invest, especially in times like these. Plus, what the debasement trade is teaching us, and how the bankruptcy of an auto parts conglomerate might be the tip of a terrifying iceberg underlying the capital markets today.
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