Real Vision: Finance & Investing

Real Vision Podcast Network
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Feb 9, 2024 • 39min

#971 - Surfing a Surging Market With Brent Donnelly

Brent Donnelly, president of Spectra Markets, joins to discuss the rally that won't stop, market behemoth Nvidia, currency market developments, and why household surveys have captured Brent's attention. They also explore unique characteristics of the current economic cycle, Occam's razor, tech dominance, market bubbles vs bull markets, risks for regional banks, and AI in trading.
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Feb 8, 2024 • 37min

#970 - Has China Bottomed? With Noelle Acheson

Noelle Acheson, author of the Crypto is Macro Now newsletter, joins Maggie Lake to discuss the ongoing equity rally, the market turmoil in China, and the significance of bitcoin reclaiming the $45,000 level. They also explore the risks in the Chinese market, the potential of Bitcoin ETFs, and the benefits of using a crypto tax calculator.
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17 snips
Feb 7, 2024 • 38min

#969 - U.S. Economy: Half Full or Half Empty? With Michael Kao

Michael Kao, CEO of Akanthos Capital Management, discusses the complexities of economic data for investors and the global market dynamics. Topics include the potential impact of interest rate cuts on controlling inflation, factors affecting the US economy, and the credibility of the Federal Reserve's easing cycle.
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Feb 6, 2024 • 37min

#968 - Who Wins the Bond Battle? With Tony Greer & Jared Dillian

Tony Greer, editor of the Morning Navigator, and Jared Dillian, editor of the Daily Dirtnap, discuss the recent price action in bonds, oil prices, and panic in Chinese markets. They also talk about the Nigerian stock market crash, rate cuts, positive earnings, bearish case against stocks, and the current state of the uranium market.
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Feb 5, 2024 • 54min

#967 - What’s Really Going on With the U.S. Economy? | With Julien Bittel

Julien Bittel, Head of macro research at Global Macro Investor, discusses the macro landscape and business cycle trackers. Topics include the confusing state of the economy, the dangers of groupthink, investment approach and portfolio allocation strategies, analyzing performance and pricing in different sectors, and understanding the business cycle.
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Feb 4, 2024 • 54min

My Life in 4 Trades: James Altucher's Wrenching Journey

James Altucher, who experienced personal and financial setbacks but eventually found new success, talks about the importance of resilience and open-mindedness in trading and investing. He shares his personal account of being near Ground Zero during the 9/11 attacks and discusses his experiences during the great financial crisis. He also explores a trade involving energy company preferred stocks and reflects on setting up a Bitcoin store and the role of discipline and patience in achieving success.
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Feb 3, 2024 • 1h 16min

Jan van Eck: ETFs, Global Macro, Tokenization

Jan van Eck, CEO of VanEck Funds, discusses ETFs, global macro investing, India's economy, and the promise of crypto. They explore the connection between macro economics, cryptocurrency, and technology, analyze financial spaces and emerging markets, and highlight the benefits of ETFs. They also delve into the state of financial markets, investing in emerging markets like China and India, the debt growth cycle, and Bitcoin as a competitor to gold and the scalability of blockchain technology.
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Feb 2, 2024 • 38min

#966 - Does the Jobs Data Paint the Real Picture? with Peter Boockvar

Peter Boockvar, CIO of Bleakley Financial Group and author of The Boock Report, discusses the conflicting data in the recent jobs report, the macroeconomic environment, and strategies to navigate economic uncertainty. They also highlight the importance of avoiding recency bias in investing.
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5 snips
Feb 1, 2024 • 40min

#965 - Are Bonds Out of Step with the Fed? | With Jeffrey Snider

Jeffrey Snider, host of Eurodollar University, joins Maggie Lake to discuss why rates markets seem out of step with the Fed, banking problems on the horizon, China's and Europe's economies in disarray, and the contrast between the US economy and the rest of the world. They also explore the bursting of China's real estate bubble, concerns about the banking system, and potential risks in the stock and bond markets.
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Jan 31, 2024 • 42min

#964 - What the Fed Means For Your Money | With Sven Henrich

Sven Henrich, founder of NorthmanTrader, discusses the Fed decision, interest rates, stock rally, stock market concentration, and behavior of the VIX index. He also shares insights on personal finance and achieving financial freedom.

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