Wall Street Unplugged - What's Really Moving These Markets

Curzio Research
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Sep 7, 2016 • 57min

Ep. 445: Marin Katusa: A Revolutionary New Strategy

Today I have another special interview with longtime friend, Marin Katusa, founder of Katusa Research. Marin starts off this episode by giving us his outlook concerning the gold and silver markets. Marin shares his thoughts on how to navigate through this tough sector, giving us details on what to look for while these stocks are still in their early stages. Marin then gives us his insight on where gold prices are going to be in the next three to five years based on just two fundamental aspects. He then talks about "smart money" and his experience with warrants and why every accredited investor should be aware of these opportunities. Finally, Marin shares some interesting ideas on what to look forward to in other commodity sectors aside from gold and silver. These are sectors that not everyone will agree with, but potentially have tremendous upside in the near future. Don’t miss out on this week’s exclusive educational segment covering the popular short sale of First Majestic Silver (AG). By the end of this segment, you'll know what direction to take.
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Sep 2, 2016 • 35min

Ep. 444: Frankly Speaking

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Aug 31, 2016 • 1h 7min

Ep. 443: Why the U.S. Economy WILL NOT Collapse

Steve Koomar, former derivative trader at Goldman Sachs and editor of the Vigilante Investor newsletter, explains why the fears of a U.S. economic collapse are completely overblown. He believes the U.S. economy is "exceptional" and will always be the premier destination for capital due to its "unparallel geographic advantages."   Steve then talks about his favorite sectors to invest in right now. They include depressed areas like natural gas, agriculture, and ethanol. He says the fundamentals in these sectors are turning positive and stocks are still dirt cheap.   Finally, Steve shares his top stock picks within these sectors. He believes each name has incredible upside over the next 12 to 18 months.
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Aug 26, 2016 • 31min

Ep. 442: Frankly Speaking

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Aug 24, 2016 • 1h 12min

Ep. 441: How to Turn $10,000 into $260,000!

My guest this week is longtime friend, Marc Lichtenfeld, Chief Income Strategist at the Oxford Club. Marc joins me in a talk about perpetual dividend raisers and the absolute fortune investors can make by compounding dividends over long periods. He also shares one of his secrets to buying some of the best high-yielding companies at dirt cheap prices. Marc then breaks down the biotech sector, an industry he's covered for years. He talks about one specific area that holds huge promise to discovering cures for cancer, Alzheimer's and Parkinson's disease. Also, he shares with us his favorite small-cap biotech name to buy right now. Don’t miss out on this week’s educational segment covering an interesting trend that has sparked in the anti-aging, DNA-testing industry. These are technologies investors need to be aware of that are already having a tremendous effect on patients, significantly extending the lives of the unfortunate.
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Aug 19, 2016 • 38min

Ep. 440: Frankly Speaking

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Aug 18, 2016 • 1h 7min

Ep. 439: How to Invest in Today's Super-Risky Market

John Petrides, managing director and portfolio manager at Point View Wealth Management, talks about the huge risks in today's market - and how investors can avoid them.  These solutions include investing in out-of-favor sectors, buying large-cap stocks that are growing earnings much faster than the overall market, and being incredibly patient to buy your favorite names at the right price. John also shares his top three ideas to invest in right now.  This includes one of the largest financial services providers, a best-of-breed food retailer, and one of the most hated oil companies in the world. He then discloses his favorite sector that has huge upside... And two sectors investors should avoid at all costs.
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Aug 13, 2016 • 47min

Ep. 438: Frankly Speaking

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Aug 10, 2016 • 1h 3min

Ep. 437: Exclusive: Jeff Phillips Unplugged

Jeff Phillips, resource financier and President of Global Market Development, is one of the best resource investors in the world.  He's built a small fortune over the past two decades by following a unique and disciplined approach to investing in this highly volatile sector.   In this 30 minute exclusive interview, Jeff shares some of his insights on what investors should look for before ever investing in a junior mining stock. He then explains the fundamentals behind owing warrants.  He says this practice is great for investors but not always good for companies who issue long-term warrants.   Jeff also breaks down the huge risks of owning small resource stocks since most companies will never see their signature projects go into production.  He believes these risks are sometimes overlooked by speculative investors - especially during bull markets like the one we are seeing today.   Finally, Jeff shares his three favorite junior mining ideas.  He says each name has incredible upside potential if gold and silver prices continue moving higher over the next few years.
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Aug 5, 2016 • 34min

Ep. 436: Frankly Speaking

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