

Real Vision: Finance & Investing
Real Vision Podcast Network
Welcome to the Real Vision Podcast, your go-to source for cutting-edge insights and expert analysis in the world of finance and investing.Our mission is to arm you with the knowledge, tools, and network you need to succeed on your financial journey.In each episode, we bring you in-depth interviews with the brightest minds in finance, including top investors, analysts, and industry leaders, to help you navigate the complexities of the global economy and make informed investment decisions.Join us as we explore market trends, investment strategies, and the forces shaping the financial landscape.Whether you're a seasoned investor or just starting, Real Vision is here to empower you with the information you need to achieve your financial goals.Subscribe today and access the best curated knowledge for FREE.
Episodes
Mentioned books

Apr 15, 2025 • 4min
Eurozone Rebound, UK Labor Weakness, and Fed Signals: PALvatar Market Recap, April 15 2025
The podcast dives into a surprising 1.2% rebound in Eurozone industrial production, driven by energy and non-durable goods. It contrasts this with the troubling UK labor market, highlighted by a significant drop in payrolled employees. The discussion also touches on the potential for delayed auto tariffs following hints from Trump, alongside mixed signals from central banks about interest rates. All these factors create a fascinating landscape for traders and investors navigating today's macroeconomic challenges.

29 snips
Apr 14, 2025 • 37min
The Big Dollar Reset Amidst Tariff U-Turns | Macro Monday ft. Andreas Steno & Mikkel Rosenvold
Dive into the fascinating world of global markets as experts analyze recent shifts in the U.S. dollar and looming economic uncertainties. Discover how U.S.-China tariffs are impacting technology imports and igniting fears of instability. The weakened dollar's influence on international markets and the potential rise of the yuan as a reserve currency are critically examined. Explore investment opportunities in regions like South Korea and Poland, amidst geopolitical tensions, and learn strategic moves in the face of trade wars and currency debasement.

Apr 14, 2025 • 4min
Trump’s Tariff Twist, China’s $100B Surplus, and Mantra’s Crypto Crash: PALvatar Market Recap, April 14 2025
Global markets are buzzing with reactions to President Trump's new tariff adjustments, lifting investor spirits, especially in Asian and European stocks. The dollar has taken a hit, dropping to a three-year low, while China's staggering $100B trade surplus underscores their strong export position. In the crypto arena, it's a different story as Mantra's OM token plummets by 90%, showcasing the volatility in digital currencies. Tune in for essential insights and updates on these market-moving dynamics!

10 snips
Apr 11, 2025 • 1h 5min
Can Crypto Keep Surviving The Market Volatility? | OSF and Mando | REKT Vision
Ovie OSF Faruq, co-founder of Rekt, provides insights into the narratives and themes driving today's crypto market. He discusses the resilience of Bitcoin amidst market volatility and the intriguing world of meme coins. The conversation also highlights investment opportunities in a turbulent landscape, emphasizing the importance of a long-term strategy. Ovie explains how global liquidity and trade tensions play into the crypto scene, alongside strategies for navigating the evolving dynamics of digital assets. His expertise offers a fresh perspective on surviving volatility.

Apr 11, 2025 • 34min
Trading the Markets: Ep. 4 | Kris Bullock and Bijan Maleki
Kris Bullock, a crypto contributor at RV, shares his expertise alongside Bijan Maleki, diving into Bitcoin's fluctuating dominance and its competition with Ethereum. They explore key market events shaping the crypto landscape, discuss trading strategies amidst volatility, and highlight emerging cryptocurrencies like 'Fartcoin.' The conversation also touches on the role of gold in unpredictable markets and provides insights into valuable investment opportunities. Tune in for actionable insights and a lively Q&A!

4 snips
Apr 11, 2025 • 4min
Tariff Wars, UK Growth Surprise, and U.S. Inflation Cooldown: PALvatar Market Recap, April 11 2025
Discover the latest shockwaves from escalating U.S.-China trade tensions as tariffs rise. European stocks have taken a hit, while gold prices soar to new heights. In unexpected news, the UK reports robust GDP growth, and signs of cooling U.S. inflation emerge. Stay informed as the markets gear up for the upcoming PPI report, and find out how these developments could reshape the investment landscape.

Apr 10, 2025 • 4min
Historic Market Rally and Tariff Reversals Shake Global Equities: PALvatar Market Recap, April 10 2025
A stunning market rally takes center stage as President Trump announces a 90-day pause on tariffs, igniting massive gains in U.S. indices. The Nasdaq surges by 12.2%, while the S&P 500 jumps 9.5%. Meanwhile, mixed economic signals from Japan and Italy add to the market's volatility. With key U.S. CPI data on the horizon, traders brace for further shifts. Get ready for an exhilarating ride through the ever-changing landscape of global equities!

7 snips
Apr 9, 2025 • 5min
Escalating US-China Tariffs, Global Market Sell-Off, and Central Bank Responses: PALvatar Market Recap, April 09 2025
Trade tensions between the US and China are escalating, with new tariffs causing global market turmoil. Equities and bonds took a hit as fears spread. Emergency measures from Japan and interest rate cuts in India and New Zealand tried to stabilize the situation. Meanwhile, gold prices soared while oil plummeted below $60. Market analysts are now anticipating possible Fed rate cuts in May, adding to the uncertainty. Stay informed with concise insights on these dramatic shifts!

Apr 8, 2025 • 5min
Tariff Escalations, Chinese Currency Moves, and U.S. Market Rebound: PALvatar Market Recap, April 08 2025
This update highlights a sudden market rebound, with Japan's Nikkei surging 6%. Tensions between the U.S. and China escalate as tariffs loom, prompting China to devalue its currency to an 18-month low. Meanwhile, U.S. small business sentiment shows signs of weakness. The discussion paints a multifaceted picture of the global economy, capturing the urgency and complexity of current financial dynamics.

18 snips
Apr 7, 2025 • 34min
What Could Reverse This Market Meltdown? Tariffs Madness & Recession Panic! | Macro Monday ft. Mikkel Rosenvold and Andreas Steno Larsen
Delve into the dramatic downturn of global markets, where declines in commodities and tech are causing concern. The hosts analyze tariff negotiations and their impact on trade stability. They discuss potential shifts in the economic landscape as we approach 2030, providing insights into investment strategies. Investor panic and China's role in commodity markets are explored alongside the complexities of tariff policies, the Federal Reserve's challenges, and strategic opportunities in uncertain times.