Investing With IBD cover image

Investing With IBD

Latest episodes

undefined
Nov 21, 2024 • 56min

Ep. 296 Risk Management Rules: The Bad Habits Of Traders And How To Correct Them

Know when to put on the brakes and when to get out. Scott Bennett founder of InvestWithRules.com joins the “Investing with IBD” podcast to discuss how to follow the big money: trader habits, the intricacies of institutional buying, and how to adjust your fund and trend watching habits. Scott also discusses the trends in stocks like Carvana (CVNA), GE Vernova (GEV) and Intuitive Surgical (ISRG) Learn more about your ad choices. Visit megaphone.fm/adchoices
undefined
Nov 15, 2024 • 54min

Ep. 295 Overthinking The Market? How To Improve Your Trading Decisions And Stick To The Charts

Joe Fahmy, managing director at Zor Capital, joins the “Investing With IBD” podcast to discuss common missteps investors make when bracing for big news events and the importance of trusting the market action. Plus, we take a look at high-flying AI stocks that need a pullback to be actionable: Nvidia (NVDA), Vertiv Holdings (VRT) and Tesla (TSLA). Learn more about your ad choices. Visit megaphone.fm/adchoices
undefined
Nov 7, 2024 • 52min

Ep. 294 Keep Calm And Trade On: Measuring Post-Election Market Sentiment

With markets rising on a Donald Trump victory, how do you handle the initial reactions you see in markets? Katie Stockton, founder of Fairlead Strategies, discusses why market sentiment is measurable, the three big challenges that remain, and why she thinks we’re heading to a more subdued trading environment. Learn more about your ad choices. Visit megaphone.fm/adchoices
undefined
Oct 30, 2024 • 1h 2min

Ep. 293 Taking Out Emotion: How This Investment Advisor Applies The IBD Methodology In Trading

Imagine looking at a map of the U.S. and taking a drive starting in Arizona and ending in Maine. That’s what you want your equity curve to look like: smooth as possible, with no detours. Don Vandenbord, chief investment officer of Revere Asset Management, joins Investor’s Business Daily’s “Investing with IBD” podcast to discuss rules to get out, and rules to stay in even when scared. Take emotion out of your investing and stay the course. Learn more about your ad choices. Visit megaphone.fm/adchoices
undefined
Oct 23, 2024 • 1h 3min

Ep. 292 Watching And Waiting: How To Approach Uncertainty Before Election 2024

Elections are taking over from the Fed as the reason markets are in a wait-and-see mode. John Kosar, CMT, president, chief market strategist at Asbury Research, explains why it’s prudent to hold back from your own big bets, what volatility tells us about market trends and what gold’s strength means for commodities. He also talks JPMorgan Chase (JPM), Goldman Sachs (GS) and Tesla (TSLA). Learn more about your ad choices. Visit megaphone.fm/adchoices
undefined
Oct 16, 2024 • 1h 10min

Ep. 291 Why Minervini Calls Volatility A Rare Moment For This Market

Mark Minervini, a two-time U.S. investing champion known for his trading insights, teams up with Irusha Peiris, a seasoned Portfolio Manager at O’Neil Global Advisors. They dive into the current market chaos paired with unexpected volatility, revealing how historical data can shape today’s strategies. They emphasize the bullish potential for mid and small-cap stocks as election trends unfold. Risk management takes center stage, highlighting position sizing and adaptive tactics for trading success amidst uncertainty. This conversation is a strategic goldmine for investors!
undefined
Oct 9, 2024 • 1h 3min

Ep. 290 What's Next For Supercharged Markets And How To Adjust Your Allocations

Are markets setting up for a smooth November and December? David Keller, president and chief strategist at Sierra Alpha Research discusses why breadth indicators are the greatest challenge for investors, and the signs to watch for shifting market tides. Learn more about your ad choices. Visit megaphone.fm/adchoices
undefined
Oct 2, 2024 • 59min

Ep. 289 Najarian: How To Avoid Getting Scared Out Of Market Filled With Tricks & Treats

Strap in, investors. The Fed’s only getting started with rate cuts, tensions in the Middle East are rising and China stocks are still surging. Jon Najarian of Market Rebellion joins us alongside Irusha Peiris, portfolio manager at O’Neil Global Advisors, to discuss market resilience and why things are continuing to act well despite volatility. Learn more about your ad choices. Visit megaphone.fm/adchoices
undefined
Sep 25, 2024 • 1h 2min

Ep. 288 This Is What’s Next For The Market According To Fed Rate Cut History

David Saito-Chung, the deputy markets editor at IBD, dives into the complexities of market reactions to Federal Reserve rate cuts. He highlights the disparity between market expectations and the Fed's historical actions, exploring the implications for investors. The discussion also covers key stocks like Ensign Group and DoorDash, as well as the interest-sensitive NVR. Saito-Chung provides valuable insights into market cycles, the impact of major tech stocks, and strategies for navigating the current financial landscape.
undefined
Sep 18, 2024 • 1h 5min

Ep. 287 How To Cope With Wild Market Volatility As Fed Cuts Rates

In this engaging discussion, Eric Krull, co-author of 'The Lifecycle Trade' and founder of Krull Asset Management, shares insights on navigating market volatility amidst the Fed's rate cuts. He emphasizes the importance of flexibility in portfolio management, suggesting that investors should adapt like trees to the wind. Key topics include the significance of follow-through days, the unpredictability of market rallies, and a deep dive into stock performances of AppLovin, Clear Secure, and Spotify, offering valuable trading strategies for uncertain times.

Remember Everything You Learn from Podcasts

Save insights instantly, chat with episodes, and build lasting knowledge - all powered by AI.
App store bannerPlay store banner