

Maggie Lake Talking Markets
Mags
Maggie Lake breaks down all the daily market action with the best minds in finance. Join us after the US market close each day for smart conversation that will help you understand this complex investing landscape and build wealth without losing your sanity. If you want knowledge, civility, karaoke and the occasional cocktail recommendation, you've come to the right place.
Episodes
Mentioned books

May 19, 2025 • 37min
Episode 54: Is it Time To Sell America? With Jeremy Schwartz.
Jeremy Schwartz, Global CIO at WisdomTree, discusses the recent U.S. credit rating downgrade and its impact on bond yields versus stock market sentiment. He highlights shifting global investment attitudes, particularly from South Korea, as funds move from U.S. assets to international opportunities. The conversation broadens to Bitcoin's potential as a competitive asset amid economic uncertainty and gold's ongoing significance in inflationary contexts. Together, they navigate the evolving landscape of asset allocation and market dynamics.

8 snips
May 16, 2025 • 36min
Episode 53: Is The Market Mispricing Risk Again? With Nancy Davis.
Nancy Davis, the founder of Quadratic Capital and a former Goldman Sachs trading head, dives into the shifting dynamics of the bond market. She discusses how traditional correlations no longer hold, fueled by rising U.S. deficits and potential changes in foreign investment in Treasuries. Nancy highlights the advantages of the asymmetric curve steepener strategy for IVOL, marking it as a prime opportunity since 2019. She also shares her journey balancing trading with motherhood, showcasing her enduring passion for financial markets.

May 14, 2025 • 34min
Episode 52: What's Bugging the Bond Market? With Noelle Acheson
Noelle Acheson, author of "Crypto Is Macro Now," dives deep into the complexities of the bond market and its disconnect from soft CPI data. She discusses the implications of Treasury yields, the potential market impact of a tariff pause, and what Coinbase joining the S&P 500 could mean. Acheson also highlights Ethereum's surprising upturn and the dollar's decline, suggesting it may boost crypto and risk assets. Her insights bridge traditional finance and the evolving world of digital currencies.

7 snips
May 13, 2025 • 38min
Episode 51: Is The Worst Of The Trade War Over? With Rupert Mitchell
Rupert Mitchell, an insightful writer known as The Blind Squirrel on Substack, dives into the impact of the US-China trade detente, suggesting the worst might be over. He explores potential causes for the next bond market upheaval and shares his thoughts on private equity, energy, and commodities. Rupert also discusses the rise of driverless cars and the evolving Canadian energy landscape, emphasizing new investment opportunities and the challenges of geopolitical complexities.

10 snips
May 9, 2025 • 44min
Episode 50: Trade Talks & The Risks To US Treasuries. With Harry Melandri.
Harry Melandri, a senior advisor at Arque Advisors and author of Respice Finem, dives into U.S.-China trade negotiations and the anticipated market reactions. He discusses the impact of proposed tariffs and the resilience of China's manufacturing sector, while highlighting supply chain vulnerabilities. The conversation also touches on global geopolitical tensions, particularly between India and Pakistan, and their implications for U.S. interests. Melandri concludes with insights into bond market complexities and their interplay with trade wars.

May 7, 2025 • 37min
Episode 49: The Great Rotation Into International Stocks Has Barely Started. With Vincent Deluard.
Vincent Deluard, Director of Global Macro Strategy at StoneX, joins to dissect the intricate global economic landscape. He boldly claims the 2% inflation target is no more and critiques the anticipated 2026 rate cuts. Deluard stresses that the migration towards international stocks is just beginning, prompted by shifts in investor behavior fueled by fears surrounding the dollar. He also uncovers how negative interest rates abroad, particularly in Switzerland, could boost investments in emerging markets like Brazil.

7 snips
May 5, 2025 • 40min
Episode 48: China Tariff Rollbacks Incoming? With Peter Boockvar.
Peter Boockvar, CIO of Bleakley Financial Group and author of the Boock Report, joins the discussion with insights on the potential upcoming reduction in tariffs on China. He explores how this could influence international stock performance and discusses the Fed's looming interest rate decisions. Boockvar also delves into concerns about inflation, bond yields nearing 5%, and emerging investment opportunities, particularly in precious metals and agriculture amidst the backdrop of fluctuating global trade relations.

May 4, 2025 • 38min
Episode 47: Is Another Sell Off Looming? With Dale Pinkert.
Dale Pinkert, a seasoned coach at TradeGateHub, dives into the latest market trends and insights. He discusses how a strong jobs report impacts stocks and Treasury yields. With Apple’s surprising decline despite robust earnings, he reflects on his earlier bearish call. Dale also evaluates the shifting dynamics between gold, silver, and bond markets, while emphasizing strategic investment reallocations. Furthermore, he warns of geopolitical tensions that may influence future trading strategies. Don’t miss his outlook on NVIDIA and silver miners!

Apr 30, 2025 • 36min
Episode 46: GDP, META and MSFT. With Tommy Thornton
Tommy Thornton, founder of Hedge Fund Telemetry and expert in market analysis, dives into the sharp slowdown of US GDP growth. He discusses the impact this has on investor sentiment and upcoming earnings from tech giants Microsoft and Meta. Thornton shares insights on market volatility, identifies potential opportunities in bear conditions, and emphasizes a cautious approach to investing in tech stocks. He also analyzes the dynamics of gold and Bitcoin amidst current market shifts, providing listeners with valuable strategies to navigate uncertainty.

Apr 30, 2025 • 1h 5min
Episode 45: Markets Still "Full of Dry Tinder". With Rudy Havenstein.
In this engaging discussion, Rudy Havenstein, a market commentator and author, shares his unconventional insights on the current economic landscape. He argues that the U.S. economy remains robust compared to Europe, despite widespread inflation concerns. Havenstein critiques policymakers, including Janet Yellen, and dives into the financialization of life, emphasizing its impact on everyday Americans. He also addresses the disconnect between Wall Street and Main Street, sparking a thought-provoking dialogue on the true meaning of inflation and its effects on the average citizen.