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Official Wealthion Podcast Feed. Learn about money and the markets from leading investors from around the world, and discover how to build a more resilient, long-term plan for your investment portfolio. Look for new episodes each week.
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Ben Laidler: Prepare for a Market Shake-Up! Inflation & Interest Rates on the Rise
Is a market shake-up upon us? Ben Laidler of eToro joins to share his insights on the current economic volatility and shares critical strategies to navigate markets and rising inflation.
In this episode, Ben Laidler, Global Market Strategist at eToro, joins host Andrew Brill the the current economic landscape. From the implications of rising inflation and interest rates, to the sectors poised for growth amidst volatility, Laidler shares his expert analysis and actionable strategies regarding the economy. Ben also provides his insights into investment opportunities for 2024 and the risks posed by geopolitical tensions.
TIMESTAMPS:
0:00 - Introduction
1:47 - US Economic Outlook
3:33 - Impact of Rising Inflation and Interest Rates
6:00 - Economists vs. Market Strategists
7:34 - Predictions on Interest Rate Cuts
9:17 - Sector and Thematic Investment Implications
10:46 - Idiosyncratic Earnings Cycle
12:06 - Tech Sector Insights: Nvidia and AI
16:21 - Energy Sector and AI
19:25 - Up-and-Coming Sectors
20:34 - Consumer Confidence and Economic Indicators
22:21 - Fed's Performance
23:22 - US Debt and Deficit Concerns
25:57 - Oil Prices and Geopolitical Risks
29:32 - Global Perspective on US Elections
31:11 - Cryptocurrency Outlook
34:38 - Summary and Market Outlook
35:13 - Conclusion -
Banks in Turmoil?: What This Means for Your Portfolio | Jonathan Wellum
Jonathan Wellum of Rocklinc Investment Partners shares crucial insights into navigating an unpredictable 2024 financial landscape.
In this episode of Wealthion, James Connor speaks with Jonathan Wellum, CEO of Rocklinc Investment Partners. Wellum provides his analysis of the current economy, markets and calls out the potential risks and opportunities for investors as we navigate an uncertain economic future.
From the stability of the banking sector to the threats of inflation and recession, Wellum offers practical strategies for protecting and growing your wealth in 2024. Don’t miss this critical discussion filled with actionable advice and expert predictions.
TIMESTAMPS:
00:00 - Introduction & Market Overview
01:40 - Background on Jonathan Wellum & Rocklinc Investment Partners
06:41 - Investment Approach & Portfolio Strategy
09:10 - Sectors & Stocks Jonathan Wellum Recommends
15:37 - Concerns Over Canadian Banks
20:39 - Impact of Work From Home on Real Estate
25:03 - Insights on the Canadian Economy
27:33 - US Economic Outlook & Stock Market Analysis
34:09 - Conclusion & How to Connect with Rocklinc -
AI’s Dark Side: Looming Energy Crisis That Could Wreck the Economy | Next Week on the Trading Floor
In this week's episode of "Next Week on the Trading Floor," host Andrew Brill and special guest Jon Najarian from Market Rebellion delve into the dynamic world of stock splits, with a spotlight on Nvidia's recent 10-for-1 split and its AI-driven rise. They also explore the intricacies of reverse stock splits, using Virgin Galactic as a prime example. As AI continues to revolutionize tech stocks, Jon breaks down how companies like Broadcom and ARM Holdings are shaping the future. Plus, a look into the power demands of AI and the potential role of nuclear energy in meeting those needs.Nvidia's Stock Split:Details of Nvidia's 10-for-1 stock split.The impact of the split on Nvidia's stock price and accessibility for investors.Stock Splits Explained:The difference between traditional stock splits and reverse stock splits.Examples of companies conducting these splits, such as Nvidia and Virgin Galactic.Artificial Intelligence (AI) Trends:The role of AI in driving stock performance, particularly in tech companies like Nvidia and Broadcom.AI's increasing influence on data centers and related industries.Power Demands of AI:The significant power requirements of AI technologies and data centers.The potential for increased use of natural gas and nuclear energy to meet these demands.AI-Linked Stocks:Insights into other AI-linked stocks, including ARM Holdings, Super Micro Computer, and Dell.Discussion of Elon Musk's ventures in AI and their implications for the market.
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Recession, Car Market Crisis and the Fed
In this Weekly Market Recap, Andrew Brill reflects on the interviews that took place on Wealthion over the past week in another Wealthion Weekly Market Recap!
Timestamps:00:00- Intro
0:11- Henrik ZebergFull Episode: https://youtu.be/6KrfaoY2vWE1
5:22- Speak Up: Steve HankeFull Episode: https://youtu.be/1TDPz1fSmVE
31:43- Car Market Crisis? Aubrey JanikFull Episode: https://youtu.be/JR8vRx15cmU
45:34- Brett RentmeesterFull Episode: https://youtu.be/5fBNiQCWbYE
55:47- Next Week on the Trading FloorFull Episode: https://youtu.be/5ycniINENtg
59:46- Closing -
Is The Fed Destroying The Economy? Professor Steve Hanke Explains Why It Will Collapse
Is the U.S. economy set to face an imminent collapse? Learn why Professor Steve Hanke predicts why the economy is hearing for a crisis and how the Fed could spark the next recession.
In this episode of ‘Speak Up’, Anthony Scaramucci speaks with Professor Steve Hanke, a leading expert in applied economics and co-director at Johns Hopkins University. Prof. Hanke explains the alarming contraction of the money supply, its historic implication and why he thinks the U.S. economy is heading for a crisis.
Discover how current fiscal policies might lead us to the brink of a recession and what you can do to protect and grow your wealth in these turbulent times. From the impact of quantitative tightening to the long-term outlook on inflation, Hanke provides actionable advice and forecasts you can't afford to miss.
TIMESTAMPS:
0:00 - Introduction
1:45 - Money Supply Contraction and Economic Impact
4:36 - Prof. Hanke’s Monetary Policy Recommendations
6:32 - Unsustainable Fiscal Policy and Deficit Concerns
10:07 - Risks of Current Deficit Spending
11:52 - Inflation Causes and the Role of the Fed
13:25 - Potential Dollar Crisis Scenario
15:07 - Fiscal Policy Solutions and Constitutional Changes
16:35 - Stock Market Analysis and Buffett’s Rule
22:03 - Petro-Dollar Agreement and Dollar’s Global Role
26:53 - Ineffectiveness of Sanctions
29:40 - Liquidity and Stock Market Outlook
30:46 - Earnings Forecasts and Recession Risks
32:34 - Impact of Interest Rate Cuts
34:27 - Detroit’s Competitiveness in Auto Industry
37:26 - Housing Market: Renovation vs. Buying
38:15 - Impact of Ethereum as a Security
39:26 - Closing Remarks -
Car Market Crisis?: What’s Next for Auto Buyers and Sellers | Aubrey Janik
Aubrey Janik discusses the potential crisis in the 2024 car market and how to navigate the challenges and opportunities it presents.
In this episode, car market expert Aubrey Janik joins host Andrew Brill to provide an in-depth analysis of the upcoming challenges for the auto industry. Janik, a seasoned car investor and Turo fleet owner, offers her insights into the potential crisis and explains how you can capitalize on market conditions.
Discover why Janik believes the car market is on the brink of significant disruption, what factors are driving these changes, and how both buyers and sellers can adapt their strategies to protect their investments. From buying and selling cars to leveraging platforms like Turo, this episode is packed with practical advice for navigating a turbulent market.
TIMESTAMPS:
00:00 - Introduction
02:01 - Car Market Changes
05:46 - Buying: New vs. Used
09:48 - Buying Used Safely
14:37 - Navigating Dealerships
17:59 - Vehicle History Reports
22:48 - Financing vs. Leasing
26:37 - Evaluating Car Value
30:56 - Future of EV Market
33:57 - Making Money with Turo
39:20 - Managing Turo Overhead
42:54 - Advertising Turo Rentals
44:24 - Urban vs. Rural Rentals
47:52 - Closing Thoughts