

Michael Green’s Warning: Why Passive Investing Could Crash the Market
May 23, 2024
Portfolio Manager Michael Green discusses the risks of passive investing and market highs despite economic weaknesses. Topics include job growth impact, active vs. passive management, geopolitical risks, inflation, interest rates, Federal Reserve policies, and protecting personal wealth through long-term investing.
Chapters
Transcript
Episode notes
1 2 3 4 5 6
Introduction
00:00 • 4min
The Impact of Passive Investing on Market Dynamics
03:52 • 17min
Market Concentration and Tariff Impact on Semiconductors
20:42 • 5min
Economic Disparity and Policy Challenges
25:24 • 13min
Challenges of Wealth, Taxes, and Future Prosperity
38:05 • 2min
Navigating Investments and Wealth in a Dynamic Market Environment
39:48 • 4min