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  • Feb 14, 2026: Brash leadership, rising global risks—what does Trump’s strategy mean for your money? Matt Gertken breaks it down.
    Feb 18 2026

    Geopolitical expert Matt Gertken joins Smart Money to break down rising global tensions, the limits of U.S. power, and what shifting alliances mean for investors. We discuss the dollar, Trump’s leadership risks, the threat of an oil shock from Iran, and the long-term competition with China—and why independent thinking matters more than ever for portfolios.

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    52 Min.
  • Feb 7, 2026: Earnings up, multiples flat—what’s the market missing? From stocks, gold, and the Fed in a pickle to AI layoffs and inflation
    Feb 9 2026

    David McCord joins us to discuss the growing market rotation away from speculative areas, the impact of AI spending, and what recent Mag 7 earnings reveal about leadership in stocks. We explore whether this shift signals a new bear market or a normal rotation, why the Fed remains in a policy pickle, and the key risks investors should be watching. We also break down the K-shaped economy, AI-driven white-collar layoffs, persistent inflation, and why housing remains central to the broader economic outlook.

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    52 Min.
  • Jan 31, 2026: The economy shows stable jobs but inflation won’t quit… and a new Fed chair faces a tricky trap.
    Feb 2 2026

    On this episode, we dive into the latest on the U.S. economy and markets: the national debt, the impact of a sliding U.S. dollar, and whether stocks are showing broader strength. We’ll discuss the Federal Reserve, potential rate cuts, and the challenges the new Fed chair will face. Plus, we’ll update you on earnings, market breadth, unemployment, inflation, and what bond markets are signaling about the economic outlook.

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    52 Min.
  • Jan 24, 2026: Boom economy, bull market… and the 1970s might tell you what comes next.
    Jan 29 2026

    Is the next leg of the bull market already underway? We break down how housing could re-ignite growth under Trump-era policies that resemble QE by another name, why stocks continue to confirm a bull market with expanding participation, and how a jobless boom and production-led growth are reshaping the economy. We also revisit 1970s-style inflation cycles, extreme pessimism in oil, and why long-term dollar weakness and rising gold reserves may signal a shift in global capital flows.

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    52 Min.
  • Jan 17, 2026: History doesn’t repeat, but human behavior does. Where are we right now in the cycle?
    Jan 21 2026

    We break down the outlook for stocks and the economy, including earnings growth expectations, Fed policy, and why corporate profits remain strong while households feel pressure. The episode explores AI-driven growth, productivity gains, inflation and wage trends, and the outlook for emerging markets and small caps. We then step back to examine lessons from history—herd behavior, technology adoption cycles, debt-fueled booms, and why asset prices often peak well before the economy slows—ending with the key question for investors: where are we now in the cycle?

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    52 Min.
  • Jan 10, 2026: Silver surging, oil geopolitics shifting, AI spending exploding—and markets hitting new highs. Is this strength real or a setup?
    Jan 21 2026

    This episode covers the key trends shaping 2026: Venezuela’s stalled oil and the U.S.–China energy dynamic. We break down stock market highs, AI-driven capital shifts, gold and silver surges, oil forecasts, and what consumers can expect from inflation and unemployment. Stay ahead of the trends with our market and economic insights.

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    52 Min.
  • Jan 3, 2026: Are markets slipping into mania? We put that question to Dave Abramson of Alpine Macro.
    Jan 21 2026

    In this episode, Jerry sits down with Dave Abramson to explore the current economic landscape. They compare today’s market to the dotcom era, discuss whether current conditions resemble a mania, and examine the GDP vs. labor dichotomy. The conversation covers the contributions of tech investment versus consumer spending to GDP growth, the outlook for the economy, gold, and inflation, and the realities of a K-shaped economy. They also touch on historical correlations between inflation and wars.

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    52 Min.
  • Dec 27, 2025: Jerry and Alejandra Grindal break down today’s wonky economy — and what it really means for investors.
    Jan 21 2026

    In this episode, Jerry and Michael dive into EPB Research’s perspective on current unemployment trends and take a closer look at how U.S. markets are stacking up against global markets. The conversation then shifts to an in-depth interviewwith Alejandra Grindal of Ned Davis Research, covering the outlook for Federal Reserve easing, seasonal patterns in a midterm election year, and where the U.S. employment cycle stands with little room for error. They also explore whattypically happens when the Fed cuts rates after long pauses, whether the U.S. dollar’s star status is at risk, the implications of the U.S. trade deficit, the evolving U.S.–China rivalry, and what lies ahead for emerging markets.

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    52 Min.