

Thoughtful Money with Adam Taggart
Adam Taggart | Thoughtful Money
Actionable insights on building wealth from the top experts in money & the markets
Hosted by Adam Taggart
Hosted by Adam Taggart
Episodes
Mentioned books

Jan 18, 2025 • 1h 30min
Stocks At A Decision Point: Which Way Will They Break? | Lance Roberts & Adam Taggart
In this discussion, portfolio manager Lance Roberts, known for his expertise in investment strategies, forecasts where stocks might head next. He dives into the implications of a rising bond term premium and the potential for a market drawdown in 2025. The conversation also touches on the significance of consumer behavior on economic growth and the impact of interest rates on corporate earnings. Notably, Lance emphasizes the value of using time wisely in both investing and personal goals, advocating for patience and strategic planning.

21 snips
Jan 16, 2025 • 1h 23min
"I Expect To Become A Raging Bear Later This Year" | Darius Dale
Darius Dale, founder and CEO of 42 Macro, is renowned for his market forecasting skills and guiding investors to impressive returns. In this discussion, he delves into the surprising market resilience against recession fears and his shift from a bullish to a potential bearish outlook for 2025. He highlights risks amid investor optimism and examines the role of liquidity and debt in economic cycles. Darius also shares insights on using Bayesian models for accurate predictions, revealing strategies for navigating coming economic challenges.

11 snips
Jan 14, 2025 • 1h 30min
The Bond Vigilantes Are Back & Rejecting The Fed | Jim Bianco
Jim Bianco, founder of Bianco Research, shares sharp insights into today's financial landscape. He discusses the resurgence of 'bond vigilantes' and their impact on the Federal Reserve's inflation efforts. Bianco raises concerns about extreme stock valuations, suggesting potential market corrections. He highlights the risks associated with heavy exposure to tech stocks and urges investors to reconsider traditional strategies, advocating for diversification and a cautious approach in today's volatile market.

11 snips
Jan 12, 2025 • 1h 4min
A Challenging Year Ahead For The S&P = Opportunity For Active Investors | Dave Iben
Dave Iben, Chief Investment Officer and founder of Kopernik Global Investors, shares insights from his career managing billions in client capital. He discusses current inefficiencies in the financial markets, highlighting opportunities for active investors. The conversation dives into concerns over high U.S. market valuations and the impact of a strong dollar on international investments. Iben emphasizes the importance of strategic diversification to navigate volatility and seize undervalued assets. He also reflects on the influence of classic literature in shaping investment perspectives.

19 snips
Jan 11, 2025 • 1h 48min
Time To Be "Tactically Bearish" Stocks? | Lance Roberts & Adam Taggart
In this insightful discussion, portfolio manager Lance Roberts shares his cautious outlook on the stock market, citing stretched valuations and slowing economic growth. He anticipates a disappointing year for stocks, unlike the previous 20%+ returns. The conversation dives into rising bond yields, market correction risks, and the peculiar phenomenon of speculative assets like Fartcoin. Roberts emphasizes the importance of disciplined investment strategies and personal accountability in navigating these uncertain financial waters.

26 snips
Jan 9, 2025 • 1h 41min
Bonds To Keep Weakening Until Stocks Tank | Bill Fleckenstein
Bill Fleckenstein, an analyst at Fleckenstein Capital, discusses the looming bond market revolt against the Federal Reserve as yields rise despite rate cuts. He predicts bonds will continue to weaken, impacting stocks significantly. John Lodra and Mike Preston from New Harbor Financial share insights on market trends, evaluating the growing disconnect between stock valuations and economic realities. The trio explores active versus passive investing strategies, the shifting dynamics of gold vs. Bitcoin, and the psychological effects of inflation on consumer sentiment.

41 snips
Jan 7, 2025 • 1h 2min
Rick Rule: This Asset Class Is "The Cheapest I've Ever Seen It"
In this conversation, Rick Rule, a prominent natural resource investor known for his expertise in gold and oil & gas, reveals his insights on current investment landscapes. He highlights the immense opportunities in the undervalued gold mining sector, suggesting it's the cheapest he's ever seen. Rick discusses the potential resurgence of North American energy, the balance between environmental policies and resource access, and encourages strategic investments as inflation concerns rise. His optimism for gold as a hedge against economic instability is particularly compelling.

21 snips
Jan 6, 2025 • 1h 5min
Stephanie Pomboy: Get Ready For A Much Bumpier Ride In 2025
Stephanie Pomboy, a macro and market analyst from MacroMavens.com, shares her insights on the turbulent economic landscape ahead. She highlights concerns over potential corporate bankruptcies and rising delinquencies, emphasizing a disconnect between asset prices and economic fundamentals. Pomboy discusses the implications of a strong dollar, inflation trends, and the risks from corporate debt. She advocates for gold as a hedge and stresses the need for transparency about economic conditions as we prepare for bumpy times in 2025.

31 snips
Jan 5, 2025 • 1h 1min
Will A New American Energy Boom Supercharge The Economy? | Doomberg
Doomberg, an energy expert renowned for his keen insights into global energy trends, joins in to dissect the evolving energy market. They delve into the shifting landscape of 2024, spotlighting the waning of OPEC and the rise of natural gas. The discussion also navigates the implications of U.S. energy policy toward independence and deregulation. Listeners can expect revelations on the potential North American energy boom, significant investment opportunities ahead, and the geopolitical intricacies shaping our energy future.

10 snips
Jan 4, 2025 • 1h 24min
A "Disappointing" Year Ahead For Investors? | Lance Roberts & Adam Taggart
Lance Roberts, a seasoned portfolio manager, shares his sharp insights on potential market performance in the coming year. He warns against complacency, highlighting the unlikelihood of repeating past 20% returns. The discussion delves into how domestic issues and political events, especially around Inauguration Day, could impact market dynamics. Also covered are technical indicators, current sector performance struggles, and the importance of stock selection amid rising volatility. Roberts emphasizes that careful, active management strategies are essential for navigating the uncertain landscape ahead.