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Gordon Johnson, CEO & Founder of GLJ Research, joins James Connor to deliver a compelling analysis of why inflation is set to surge and how key economic indicators are flashing recessionary warnings. He delivers a sharp critique of Federal Reserve policies, highlights the growing disconnect between the stock market and the real economy, and explain…
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In this week’s edition of Wealthion’s Weekly Market Recap, Andrew Brill highlights key insights from our expert guests: David Rosenberg critiques the market’s post-election bullish sentiment, analyzes geopolitical challenges for Trump, and debunks the feasibility of dismantling the Fed. Jonathan Wellum highlights persistent inflation risks and unsu…
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David Rosenberg, Founder of Rosenberg Research, issues a bold warning about an impending market bubble burst, citing “stupid expensive” valuations as markets buy in the impact of Trump’s policy agenda. He joins Anthony Scaramucci in this exclusive post-election interview to explain why inflation, political polarization, and soaring debt levels coul…
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Is now the time to go all in on U.S. stocks? Adam Johnson, Portfolio Manager of the Bullseye American Ingenuity Fund, shares his bullish outlook on the American market and economy, breaking down the economic drivers he believes will fuel growth, from Trump’s policies to innovation in AI. In this interview with Wealthion’s Andrew Brill, he reveals h…
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Veteran investor Jonathan Wellum, CEO of Rocklinc Investment Partners, reveals urgent insights on looming financial challenges—from record-high stock valuations and inflation to escalating debt—that could impact your portfolio. In this eye-opening interview with James Connor, Jonathan explains why he disagrees with Jay Powell’s optimistic economic …
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Is your portfolio ready for alpha in today’s market? Steven Feldman, co-founder and CEO of Wealthion, welcomes Bob Elliot, co-founder, CEO, and CIO of Unlimited Funds and formerly of Bridgewater, for an in-depth look at pro-level investing strategies within everyone’s reach. Bob and Steven reveal hedge fund tactics designed for protection and growt…
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The U.S. Equity Markets enjoyed their best week of the year following Donald Trump’s election victory last week, pushing the S&P 500 to an intra-day high of 6,000 for the first time last Friday. Back in June, Market Rebellion’s Justin Nugent boldly forecasted this milestone during an interview with Wealthion’s Andrew Brill—and now, he’s been proven…
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In this week’s edition of Wealthion’s Weekly Market Recap, Andrew Brill highlights key insights from our expert guests: Chris Casey discusses the impact of tariffs and economic policy in light of Donald Trump’s victory in this week’s election, explaining how tariffs act as a tax that often raises prices for U.S. consumers and the risks of retaliato…
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David Lin of The David Lin Report dives into the hidden dangers in today’s market, from soaring debt and geopolitical risks to Trump’s tariffs, unusual asset correlations, and the evolving roles of gold and crypto. He shares his investment philosophy and offers actionable insights for navigating these uncertain times. Join Wealthion’s Andrew Brill …
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Gold has surged this year, and uranium demand is rising as central banks, tech giants, and major players pour into these metals. John Ciampaglia, CEO of Sprott—a $30+ billion asset manager specializing in precious metals— joins James Connor to reveal why gold is seen as a shield against economic risks and why uranium is crucial to big tech’s massiv…
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Chris Casey, founder of WindRock Wealth, joined Wealthion’s Andrew Brill for a live conversation unpacking the economic and market impact of Donald Trump’s return to office. Discover Trump’s key policy shifts, investment opportunities, and essential strategies for adjusting your portfolio in light of this election outcome. If you missed the live, c…
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Anthony Scaramucci, founder of SkyBridge Capital and former White House Communications Director, joined Andrew Brill today for a live Election Day special. As America decides between Harris and Trump, Scaramucci brings critical insights on the economic, financial, and political impact of today’s historic vote. Investment Concerns? Get a free portfo…
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From polling shifts to market reactions, Chris Casey provides a comprehensive look at how the U.S.A.’s 2024 election could reshape your financial future. He breaks down the differences between traditional polls and betting markets, revealing what they indicate about the race and highlighting key battleground states that could tip the scales. Chris,…
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In this week’s edition of Wealthion’s Weekly Market Recap, Andrew Brill highlights key insights from our expert guests: Could hyperinflation be on the horizon? We analyze the warning signs and reveal why gold stocks could be your ultimate hedge. Renowned tax expert Mark J. Kohler unveils the top financial freedom and smart tax strategies for wealth…
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Michael Binger, who oversees $6.5 billion in assets, shares essential investment strategies to navigate today’s market risks. From inflation concerns and recession threats to the potential impact of election outcomes, Binger offers insights into balancing growth and protection in your portfolio. Learn why he believes in a balanced 60/40 investment …
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As economic risks escalate, gold has become a crucial safe-haven asset for investors fearing inflation and even the potential for hyperinflation. Chris Mancini, mining analyst and associate portfolio manager at Gabelli Funds, a $30 billion asset manager, joins James Connor to discuss why gold could be your hyperinflation lifeline. He explains why g…
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KKOS Lawyers Founder Mark Kohler shares powerful, actionable strategies to secure your finances and build lasting wealth. From tax-free investments and smart debt management to maximizing the benefits of side hustles, Kohler covers the essentials of financial freedom to help you achieve the American dream. Don’t miss his insights on personal financ…
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David Woo accurately predicted that an Israeli strike on Iran was imminent exactly two weeks ago here on Wealthion. We’re privileged as James Connor welcomes David back to update us on the geopolitical and market implications of last Saturday’s events. Calling the strike a “stroke of genius,” Woo discusses its impact on Middle Eastern stability and…
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In this week’s edition of Wealthion’s Weekly Market Recap, Andrew Brill highlights key insights from our expert guests: Legendary investor Jim Rogers discusses why silver is a better investment than gold, the rising risk of global conflict, and gives crucial advice to young investors. Rick Rule explains why gold could hit $9,000, while addressing p…
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Jim Rogers, legendary investor, best-selling author, and co-founder of the Quantum Fund, joins Anthony Scaramucci for an insightful conversation on why today’s market euphoria signals danger. With most global markets near all-time highs, Jim draws on his 60 years of investing experience to explain why things will take a turn for the worse. He discu…
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In this eye-opening interview, Larry McDonald predicts a surge in inflation and energy prices, driven by global fiscal policies, geopolitical risks, and rising energy demand from AI-driven technology. The best-selling author and Founder of The Bear Traps Report explains why traditional investment strategies won’t work in this new economic landscape…
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Rick Rule warns that the U.S. dollar could lose up to 75% of its purchasing power over the next decade. He joins James Connor to explain why gold could surge to $9,000 and silver to $100, and how real inflation, which Rick believes is much higher than official numbers, will erode your hard-earned savings. Learn why precious metals are essential for…
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Find out why the Fed’s rate cuts could trigger inflation and serious economic risks! In this episode, Wealthion's Andrew Brill welcomes Jared Dillian, Founder of Jared Dillian Money and The Daily Dirt Nap, who warns of bond market turmoil, rising long-term rates, and the potential stock correction tied to the upcoming U.S. election. Jared also pred…
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In this week’s edition of Wealthion’s Weekly Market Recap, Andrew Brill highlights key insights from our expert guests: David Woo warns that escalating Israel-Iran tensions could shock global markets. Jonathan Wellum highlights U.S. market complacency and defensive investment strategies. Tian Yang explains his concept of ‘Schrödinger’s Recession,’ …
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China’s $19 trillion crisis could send shockwaves through the global economy. Andrew Brill welcomes veteran macro investor and DeFi Advisors Founder & CEO Michael Nicoletos to explore his insights on how China’s debt load, bad investments, and capital controls may lead to a currency and banking crisis and what this could mean for global markets. He…
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Wealthion’s Andrew Brill sits down with Variant Perception’s CEO, Tian Yang, to unpack his intriguing concept of a “Schrödinger’s Recession,” where the U.S. economy continues growing despite traditional recessionary signals flashing red. Tian also explains why the Fed’s preemptive rate cuts were the right move and how resilient household balance sh…
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James Connor welcomes Jonathan Wellum, CEO of ROCKLINC Investment Partners, to discuss Warren Buffett’s decision to build cash reserves, the overvaluation of tech stocks like Nvidia, and why precious metals might become key to protecting portfolios. Wellum also covers Buffett’s increasing exposure to energy stocks, concerns over baby boomers’ equit…
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David Woo joins James Connor to warn that a highly likely Israel-Iran war will send oil prices soaring to $100 and trigger significant market volatility. In this interview, David, a former top Wall Street macro analyst and CEO of David Woo Unbound, explains why geopolitical risks are the highest he’s seen in decades and shares what investors could …
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In this week’s edition of Wealthion’s Weekly Market Recap, Andrew Brill highlights key insights from our expert guests: Christopher Vermeulen examines the broader macro picture, focusing on oil and offering chart analysis for uranium. Michael Gayed explains why traditional models may no longer apply in today’s economy and touches on the debt crisis…
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In this inspiring Speak Up conversation, Anthony Pompliano shares key lessons from his new book: How To Live An Extraordinary Life. He and Anthony Scaramucci dive into how to take control of your life with agency, optimism, and a winning approach to Bitcoin and crypto. The multifaceted Pomp, an entrepreneur, CEO, and founder of Professional Capital…
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Ram Ahluwalia joins Andrew Brill to dive into how AI will reshape industries, creating massive opportunities for some and existential challenges for others. Ram, Lumida Wealth’s co-founder and CEO, also critiques the Fed’s recent rate cut, warning that it could lead to economic overheating because the U.S. economy remains resilient. From AI themati…
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Andrew Brill welcomes Michael Gayed to explain why liquidity has overtaken traditional fundamentals as the primary driver of market performance. Michael, Portfolio Manager at Tidal Financial Group and Publisher of The Lead-Lag Report, highlights the misaligned incentives that keep liquidity flowing and distort market pricing alongside the Federal R…
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Institutions are quietly unloading billions in stocks, signaling a potential market reset or recession ahead, warns Chris Vermeulen to host James Connor. In addition to his macro insights, Chris, the Founder and CIO of The Technical Traders, provides a chart trading analysis extravaganza of key investment sectors and equities like the S&P 500, NASD…
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In this week’s edition of Wealthion’s Weekly Market Recap, James Connor highlights key insights from our expert guests: David Rosenberg warns of an impending recession, highlighting clear signs of economic contraction, while Chris Casey sounds the alarm on a looming U.S. solvency crisis. Jeremy Schwartz analyzes China’s stimulus and U.S. growth out…
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David Rosenberg joins Anthony Scaramucci on Speak Up to warn and explain why a recession is looming. Highlighting the dangers of a widespread “soft landing” complacency and overexposure to equities, David, the Founder and President of Rosenberg Research, draws parallels to past crises and explains why current conditions are setting investors up for…
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Is the U.S. on the brink of a solvency crisis? Chris Casey joins Andrew Brill to discuss the worrying solvency risk posed by rising debt and unchecked deficit spending and the Federal Reserve’s likely response: more money printing. Chris, the Founder and Managing Director of WindRock Wealth Management, unpacks why inflation is likely to persist and…
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Wealthion’s Andrew Brill welcomes Geo Chen to unpack why the current macro setup is highly bullish for global markets, driven by the Fed’s rate cuts, positive U.S. economic data, and China’s aggressive stimulus efforts. The author of the Fidenza Macro Newsletter also shares his updated views on key asset classes like gold, oil, and bitcoin, and exp…
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China’s stimulus and the Fed’s rate cut aim to boost their economies—will it be enough? Jeremy Schwartz, WisdomTree’s Global Chief Investment Officer, joins James Connor to discuss their impact on markets, the global economy, and where the risks and opportunities lie. They explore whether these moves can prevent a recession, stock market valuations…
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In this week’s edition of Wealthion’s Weekly Market Recap, Andrew Brill highlights key insights from our expert guests: Tavi Costa discusses the Fed’s aggressive rate cuts and the mounting recession signals in the yield curve. Daniel Lacalle reveals the “hidden recession” already affecting major global economies and how dedollarization would devast…
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Speak Up’s Anthony Scaramucci welcomes former Federal Reserve Bank of Atlanta President and CEO Dennis Lockhart to explore the echoes of the 2008 financial crisis and how they still resonate in today’s economy. Lockhart shares insider insights into the Fed’s bold response with quantitative easing, critical lessons learned, and how those actions con…
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Andrew Brill welcomes renowned economist Daniel Lacalle, PhD, to discuss the unsustainable trajectory of the U.S. and major global economies, which are already experiencing a private-sector “hidden recession.” Lacalle, Chief Economist at Tressis, unpacks how massive government spending and loose central bank policies are inflating short-term GDP gr…
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WindRock Wealth Management’s Director, Brandy Maben, joins Wealthion’s Andrew Brill to share essential insights on estate planning, life insurance, and financial strategies to safeguard your wealth during life’s most unexpected events. Learn how proper planning can ease emotional and financial burdens, especially during difficult times like death o…
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Crescat Capital Macro Strategist Tavi Costa explains how rising U.S. interest payments and unchecked fiscal spending have trapped the Federal Reserve, forcing last week’s aggressive rate cut that could reignite inflation and weaken the U.S. dollar. As recession risks grow and equity markets hit peak valuations, he joins James Connor to unpack why c…
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In this week’s edition of Wealthion’s Weekly Market Recap, Andrew Brill shares the most compelling insights from our expert guests. From the state of the federal budget to why credit card rates aren’t regulated, EJ Antoni dives into key fiscal challenges. Michael Howell explores the economic slowdown in China and rising U.S. debt levels, while Noel…
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Anthony Scaramucci sits down with Noelle Acheson, author of the Crypto is Macro Now newsletter, for an insightful conversation exploring how Bitcoin and gold are the ideal hedges for these chaotic times of political instability, inflation, and rising economic inequality. They also discuss Noelle’s forecast for Bitcoin, stagflation risks, the rise o…
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Immediately after the Fed announced its 50 bps interest rate cut, Vincent Deluard, Director of Global Macro at StoneX, joined Maggie Lake for a live broadcast to discuss its impact on financial markets and the economy. If you missed Wealthion's special broadcast, now is the time to catch up on Vincent’s expert insights and learn what this rate cut …
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Is the Federal Reserve’s shift in focus setting the stage for a major liquidity increase? Renowned global liquidity expert Michael Howell, Founder and CEO of CrossBorder Capital, joins James Connor to discuss the Fed’s economic concerns, its upcoming policy pivot, and the resulting boost in global liquidity, asset prices, and inflation. He also div…
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E.J. Antoni, PhD, Economist and Research Fellow at the Heritage Foundation, explains why the Fed’s plan to cut interest rates won’t solve deeper economic problems—such as runaway government borrowing and record deficits—that threaten American financial stability. He uncovers how the Fed is at loggerheads with the US Treasury, creating a dangerous c…
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In this week’s edition of Wealthion’s Weekly Market Recap, Andrew Brill shares the most compelling insights from our expert guests. Michael Kao explains why he’s skeptical of a rate cut and its potential to reignite inflation. Caitlin Long discusses how cryptocurrency could challenge traditional financial systems amidst excessive regulation. Jared …
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Is the future of crypto under attack? Caitlin Long, Founder and CEO of Custodia Bank, joins Anthony Scaramucci to reveal how political forces and regulatory battles are creating a challenging path for the crypto industry in the U.S. From the difficulties facing crypto entrepreneurs to why Bitcoin could power the AI economy. Caitlin shares her insid…
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