-
33:21
Hot Seat: Kevin O'Leary
Kevin O'Leary answers viewer questions covering the current market outlook and talk of recession, the advice he's giving his Shark Tank companies, his thoughts on getting into NFTs, and why he now wears two watches.
-
05:21
Too Early To Tell Which Way Market's...
Jonathan Corpina says today's market is still trying to figure out which way it's going and shares his thoughts on the sectors that have the most upside and downside.
-
01:20
Nike 4Q FY22 Earnings Call Forecasts...
Despite beating earnings projections, Nike's challenges in China cause the stock to slide.
-
40:34
Macro Markets Podcast Episode 16: Fed Watch...
Brian Smedley, Guggenheim’s Chief Economist and Head of Macroeconomic and Investment Research, discusses the impact of the Fed’s 0.75% rate hike on markets and the economy.
-
05:03
Education Planning With A 529
A discussion on the key features and benefits of a 529, a tax-advantaged savings plan designed to encourage saving for future education costs.
-
10:50
Looking For A Terminal Rate And A Market...
A discussion on the current market drop and how The Fed can bring up federal funds rates.
-
03:14
Summers Anticipates 'Stagflationary...
Former Treasury Secretary Lawrence Summers renewed his criticism of Federal Reserve economic forecasts, saying that the US unemployment rate would need to increase by much more than policy makers anticipate in order to quell inflation.
-
01:00
View From The Floor: Bear Markets As...
Bear markets have long been associated with impending recessions. Two questions being asked now are where this bear market will hit bottom and if it will be followed by a recession.
-
03:08
El-Erian Fears Fed Will Flip-Flop
Dr. Mohamed El-Erian, President of Queens' College, Cambridge and chief economic adviser at Allianz, is worried the Federal Reserve will flip-flop between policies as it strives to balance curbing inflation with maintaining a healthy economy.
-
00:55
View From The Floor: NYSE Delisting Revlon
The New York Stock Exchange begins the process of delisting Revlon after the company files for bankruptcy.
-
01:59
S&P 500 Enters Bear Market, What Needs...
Jonathan Corpina shares his thoughts on the S&P 500 entering a bear market and what will need to change for us to see markets start climbing again.
-
06:31
Newday Impact Launches Ocean Health ETF (...
Newday Impact Investing launches its first exchange traded fund and one of the few ETFs dedicated to protecting and restoring healthy marine ecosystems – builds on the company’s five years of impact investing and strong relationships with grassroots nonprofit organizations working to mitigate environmental damage to the world’s oceans. Over 80% of Portfolio Actively Involved in Protecting Ocean...
-
01:39
Markets Want Serious Fight on Inflation
Tim Anderson forecast's the Fed's June announcement of the Federal Funds rate and what he thinks the market wants to see from the benchmark interest rate.
-
03:01
May CPI Report: Inflation Spikes Higher Than...
Peter Tuchman of TradeMas weighs in on the May's CPI coming in higher than was expected and how he feels about "bear markets".
-
23:30
Macro Markets Podcast Episode 15: Mid-Term...
Paul Dozier on how stocks have performed in midterm election years, and head of foreign exchange Cameron Crosby discusses the currency markets
-
09:41
Q2 2022 Market Outlook with Joe Davis
Stonebriar Wealth Management LLC's President and Wealth Advisor, Joe Davis, CFP®, provides his market outlook heading into the end of the year and offers his insights for the coming year.
-
06:06
The ETF Show - Ways to Hedge Volatility
2022 has been very volatile so far with the war in Ukraine, rising interest rates, and elevated inflation. Jason Chen, Senior Research Analyst at DWS Group, discusses how some investors are using currency hedging to reduce volatility. Growth has underperformed in the rising rate environment, but Alger Portfolio Manager Amy Y. Zhang remains bullish on the mid-cap growth space.
-
51:18
Macro Markets Podcast Episode 13: The Fed,...
U.S. Economist Matt Bush analyzes the latest Fed announcement and labor and inflation data, Investment Strategist Maria Giraldo discusses credit risk while the Fed tightens, and Managing Director Chris Keywork updates on the bank loan market.