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Markets Decoded: Every week, AI vs AI on Global Markets

Markets Decoded is not just another market update — it's a cutting-edge, weekly podcast where two generative AIs deliver a sharp, multilingual synthesis of global market dynamics. In just ten minutes, you'll gain a clear, concise overview of: Global equity market trends Macroeconomic developments Central bank policy signals Emerging risks and geopolitical shifts But what truly sets this podcast apart isn’t just the AI — it’s the expertise behind it. Each episode is guided by a former portfolio manager with over 20 years of experience leading global equity and asset allocation teams at top-tier institutional investment firms. Today, as a recognized AI transformation leader, this expert designs the prompts, curates the input data, and ensures that each episode blends deep financial insight with the speed and clarity only AI can offer. Multilingual. Native. Not Just Translated. A cornerstone of Markets Decoded is its authentic multilingual design. These aren’t machine-translated copies — they are individually generated in English, French, German, Italian, Spanish, Chinese, and more (coming soon), based on the same curated financial inputs and expert guidance. Each version is fluid, idiomatic, and adapted to local linguistic standards — a powerful tool for those looking to explore, teach, or discuss financial markets globally, or to master key vocabulary in an international context. Disclaimer While each episode is crafted from inputs and guidance provided by a financial expert with over two decades of real-world experience, the final output is generated by artificial intelligence and may contain inaccuracies. This podcast is intended as a source of information, not financial advice. That said, we believe Markets Decoded is a powerful demonstration of what happens when institutional-level market expertise meets generative AI: It simplifies the complex. It scales globally. And it saves you time — without sacrificing clarity or credibility.

Episodes

  1. ECB Cuts Rates, But Hot US Jobs Report Changes Everything

    JUN 7 • SUBSCRIBERS ONLY

    ECB Cuts Rates, But Hot US Jobs Report Changes Everything

    📉 ECB Cuts Rates, But Hot US Jobs Report Changes Everything For the week ending June 6, 2025, central banks took center stage—and sent mixed signals across global markets. In this episode, we dissect the European Central Bank’s long-anticipated rate cut and the shockingly strong U.S. jobs report that could alter the Federal Reserve's policy path. Are the ECB and the Fed now firmly on divergent tracks? 🎯 KEY HIGHLIGHTS & ANALYSIS: 🇺🇸 U.S. Jobs Market SURPRISE: Non-farm payrolls soar past forecasts. What does it mean for the Fed’s rate cut trajectory? 🇪🇺 ECB Cuts, But Signals a Pause: Christine Lagarde hints that the cutting cycle is “nearly concluded.” What could prompt another move in Q3? 🇨🇳 China’s Growth Worries Mount: As deflation risks deepen, pressure builds for more aggressive fiscal and monetary action. 🇯🇵 Japan’s Uneven Recovery: With inflation sticky and consumer spending soft, the Bank of Japan continues its cautious stance. 🌐 Global Data PREVIEW (June 10–14): All eyes on U.S. CPI & PPI, Fed meeting setup, Eurozone industrial production, and key Chinese indicators. 📊 We go beyond the headlines to decode the real drivers of global market performance—covering U.S. indices (S&P 500, Nasdaq, Dow Jones), European benchmarks (STOXX, DAX, FTSE), and Asia (Nikkei, Hang Seng, Shanghai Composite). Tune in for insights on inflation (CPI, PCE), GDP, employment, and central bank policy shifts (Fed, ECB, BOJ). 🧠 Hosted by Los Flamingos Research & Advisory, your AI Consulting partner in Marbella & Geneva for Financial Services & Asset Managers, this podcast delivers AI-powered macroeconomic insights and expert financial market analysis every week. 👇 SUBSCRIBE for your weekly dose of AI-enhanced market intelligence and strategy foresight. 📌 Disclaimer: This content is AI-generated based on expert-curated prompts and historical context. It may contain omissions or inaccuracies. It is provided for educational purposes only and does not constitute financial advice.

    14 min
  2. Market RALLY: Will It LAST? ECB Cuts, Jobs Report & June 2025 Risks

    MAY 31 • SUBSCRIBERS ONLY

    Market RALLY: Will It LAST? ECB Cuts, Jobs Report & June 2025 Risks

    📈 Global Markets SOAR, But What's NEXT? In this deep dive, we analyze the critical market movements for the week ending May 30, 2025, and arm you with a crucial preview of the data and central bank decisions poised to rock markets in the week of June 2–6, 2025. Is the current optimism sustainable, or are we heading for a reality check? 🚨 KEY HIGHLIGHTS & ANALYSIS: * U.S. Stock Market Rally: Driven by trade optimism & cooling Core PCE inflation. What does this mean for the Fed? * ECB Rate Cut IMMINENT: Why the European Central Bank is set to cut rates, and why sticky inflation expectations create a puzzle. * Japan's Inflation SURPRISE: Tokyo CPI hits 3.6%! How will the Bank of Japan (BOJ) react? * China's Market LAG: Why vague stimulus measures are failing to boost investor confidence in the Chinese economy. * Global Economic Data PREVIEW (June 2-6, 2025): U.S. Jobs Report (Non-Farm Payrolls), ECB interest rate decision, Eurozone CPI, Caixin PMI, and more! 🎙️ We go beyond the headlines, explaining the real drivers behind recent market performance—from US stock indices like the S&P 500, Nasdaq, and Dow Jones, to European markets (STOXX, DAX, FTSE), and Asian markets (Nikkei, Hang Seng, Shanghai Composite). Discover the key economic indicators and monetary policy shifts you MUST watch. 🧠 Hosted by Los Flamingos Research & Advisory, your AI Consulting in Marbella & Geneva for Financial Services & Asset Managers, this podcast delivers AI-enhanced, expert-level macroeconomic insights and financial market analysis straight to you every week. We break down complex topics like inflation (CPI, PCE), interest rates, GDP, employment data, and central bank policy (Fed, ECB, BOJ). 👇 SUBSCRIBE for your weekly dose of AI-powered market intelligence and a glimpse into the future of finance! 🔗 TIMESTAMPS: 00:00 Intro: On Market Optimism! 00:35 U.S. Market Rally: Trade Hopes & PCE Data 03:10 Eurozone & ECB Rate Cut Expectations 05:30 UK Market Update & Services Sector 07:00 Japan's CPI Surprise: BOJ Under Pressure 09:05 China's Stimulus: Why Markets Are Unconvinced 11:00 Week June 2–6: U.S. Jobs Report, ECB, Global PMIs 15:20 Top 5 Market Risks for June 2025 ( 17:15 Final Thoughts & Navigating a Data-Heavy Week / Outro 📌 Disclaimer: This content is AI-generated based on expert-curated prompts and historical context. It may include omissions or inaccuracies. It is provided for educational purposes only and does not constitute financial advice.

    18 min
  3. Navigating Volatility from Trade Tensions and Bond Market Instability

    MAY 24 • SUBSCRIBERS ONLY

    Navigating Volatility from Trade Tensions and Bond Market Instability

    Market volatility is BACK! 📉 Treasury yields are spiking (30-year over 5%!), Trump tariff threats are resurfacing, and stocks are tumbling. But is this the start of a bigger downturn, or can the markets remain resilient amidst surprising economic strength? If you're asking "What do rising yields mean for my investments?", "How will new tariffs impact the stock market (e.g., Apple's iPhone)?", or "Is the economy heading for a recession?", this episode is for you. 🔍 Join our AI-powered deep dive (16 minutes) as two intelligent agents dissect the critical global economic data. We cut through the noise to deliver actionable insights on the S&P 500, Nasdaq, bond markets, and key international economies. This week, we uncover: 🇺🇸 US Market in Turmoil: Why did the S&P drop 1.34% & Nasdaq 2.47%? Small Caps crushed (-8.53%). We analyze the impact of surging bond yields and the proposed 25% iPhone tariff on Apple. 💣 Bond Yields Explode: The 30-year Treasury breached 5%! What does this signal for future interest rates and market stability? 📱 Trade Shock Looms: How would a 25% iPhone tariff truly affect Apple and broader tech sentiment? 🇪🇺 Europe's Economic Woes: PMI dips and EU growth forecasts are cut, but is Germany a surprising outlier? 🇬🇧 UK's Mixed Economic Signals: Hot inflation meets strong retail sales, yet industrial weakness persists. What's the outlook? 🇯🇵 Japan Inflation Jumps: CPI surge puts pressure on the Bank of Japan (BOJ). Will they finally tighten monetary policy? 🇨🇳 China's Economic Imbalance: Strong industrial production but weak consumer demand. Is more stimulus coming, and will it work? 🚨 KEY DATA TO WATCH NEXT WEEK (May 26–30): Stay ahead with our preview of critical releases that could move markets: 📊 US Economy: PCE inflation (the Fed's preferred measure!), GDP revision, Fed minutes, and consumer confidence. 💼 European Markets: Final PMI readings and potential tariff retaliation watch. 🔥 UK & Japan Inflation Watch: Retail sales and inflation prints under intense scrutiny. 📉 China Stimulus Watch: Will Beijing step in to boost weak consumption? ⚡ No fluff, just data-driven risk analysis and sharp AI insight. Understand the forces shaping today's volatile markets. 🧠 Subscribe for weekly macro clarity & investment insights. Don't miss our expert analysis! 🎧 Perfect for listening while walking, cooking, or during your commute. 📌 CHAPTERS / TIMESTAMPS: 00:00 – Intro: Tariff Truce Ignites Global Optimism 01:15 – US Markets Surge: What Drove the 7% NASDAQ Rally? 03:00 – Beneath the Surface: Inflation Cools, But Sentiment Sinks 04:50 – Europe Bounces: Trade Relief & Industrial Gains 06:30 – UK Surprise: GDP Booms, But Jobs Falter 08:00 – Japan Contracts: Weak Growth vs. Hawkish BOJ 09:25 – China Cautious: Wins on Trade, But No Stimulus Euphoria 10:45 – Week Ahead (May 20–24): CPI, Durable Goods & Business Sentiment 12:35 – Top 5 Macro Risks to Watch This Week 14:45 – Final Thoughts & Takeaway 📌 Disclaimer: Though episode content is based on expert-designed inputs, the final version is AI-generated and not sourced from live market data. It may include omissions or inaccuracies. This is an educational and informational resource, not investment advice.

    16 min
  4. Equities Roar on US-China Trade Truce, But Underlying Data Tells a Complex Story

    MAY 17 • SUBSCRIBERS ONLY

    Equities Roar on US-China Trade Truce, But Underlying Data Tells a Complex Story

    📉 Massive Rally. Hidden Risks. This week, global markets surged on a surprise US-China tariff truce — but is it just relief or the start of a real recovery? 🔍 In this 13-minute AI-powered market recap, two intelligent agents break down: – 🔥 U.S. stocks explode: S&P +5.27%, Nasdaq +7.15% – 🇪🇺 Europe rebounds: Industrial data & exports up – 🇬🇧 UK surprises: Strong GDP, but job cracks emerge – 🇯🇵 Japan contracts: GDP shock, weak demand – 🇨🇳 China wins trade optics but stimulus fades 🚨 What to watch next week: CPI from UK & Japan, US Durable Goods, Eurozone Confidence, and 5 key risk signals that could flip the rally on its head. ⚡ No fluff. Just data, risk, and real insight — powered by AI. 🧠 Subscribe for weekly macro clarity. 🎧 Listen while walking, cooking, commuting. 📌 Chapters Timeline: 00:00 – Intro: Tariff Truce Ignites Global Optimism 01:06 – US Markets Surge: What Drove the 7% NASDAQ Rally? 02:46 – Beneath the Surface: Inflation Cools, But Sentiment Sinks 04:42 – Europe Bounces: Trade Relief & Industrial Gains 06:32 – UK Surprise: GDP Booms, But Jobs Falter 08:14 – Japan Contracts: Weak Growth vs. Hawkish BOJ 09:56 – China Cautious: Wins on Trade, But No Stimulus Euphoria 11:44 – Week Ahead (May 20–24): CPI, Durable Goods & Business Sentiment 13:11 – Top 5 Macro Risks to Watch This Week 💥 Markets move fast. So do we. Subscribe for the smartest, AI-powered macro recap out there. New episode every weekend. 📌 Disclaimer: Though episode content is based on expert-designed inputs, the final version is AI-generated and not sourced from live market data. It may include omissions or inaccuracies. This is an educational and informational resource, not investment advice. Still, we believe it showcases the powerful role generative AI can already play in multilingual economic communication.

    13 min
  5. Trade Diplomacy in Focus Amid Inflation, Labor Resilience, and Emerging Economic Cracks

    MAY 10 • SUBSCRIBERS ONLY

    Trade Diplomacy in Focus Amid Inflation, Labor Resilience, and Emerging Economic Cracks

    📉 Trade talks (USA UK trade agreement May 2025, USA China trade negotiations May 2025) are back—but is the optimism masking deeper cracks in the global economy? In this episode of AI Transforming Finance, two AIs decode the real story behind global market moves for the weekly financial markets summary ending May 9, 2025. From a new U.S.-U.K. trade agreement to China’s massive stimulus push, we break down what’s driving the headlines—and what lies beneath, including the impact of tariffs on financial markets. We explore: UNITED STATES (USA): Unpacking the S&P 500, Nasdaq, Dow Jones performance for the week of May 9, 2025, following the latest Fed interest rate decision (May 2025). We analyze the current US labor market situation (April 2025), surprisingly soft US GDP growth (first quarter 2025), persistent US inflation data (April 2025), and the ISM Services Index and prices USA. What are the Fed interest rate forecasts for summer 2025? EUROPE & UK: A look at Eurozone markets performance for the week of May 9, 2025. Will the Bank of England deliver a rate cut (May 2025)? We examine Germany's industrial production (March 2025), Nordic central banks' monetary policy (Sweden, Norway, May 2025), the UK housing market situation after the end of tax breaks, and FTSE 100 performance (week of May 9, 2025). Plus, the UK GDP growth forecast for the first quarter 2025 and upcoming Eurozone industrial data (May 2025). ASIA (Japan & China): Deep dive into Japan markets performance (Nikkei 225, TOPIX) for the week of May 9, 2025, the ongoing Yen weakening (May 2025), and concerning Japan real and nominal wage trends (March 2025). We also cover USA-Japan trade negotiation obstacles and the impact of tariffs on Japan exports. For China, we discuss the significant China economic stimulus (May 2025), PBOC rate and reserve cuts, and worrying China export data (April 2025), alongside China retail sales and industrial production forecasts for April 2025. 🧠 In this episode Explore: – U.S. resilience in jobs vs. shrinking GDP – Europe’s dovish pivot, but diverging performance – Japan’s trade boost vs. wage stagnation – China’s export crash to the U.S. and pivot to ASEAN – The Top 5 financial market risks for the week of May 12-16, 2025, to watch ahead of next week’s upcoming economic events in USA, Europe, Japan, and China (inflation, GDP & trade data drops). 🎯 No fluff. Just sharp insight from AI, backed by 20+ years of real-world experience. Episode Timeline / YouTube Chapters: 00:00 Global Markets: Trade Optimism vs. Underlying Economic Risks 00:14 – Intro: Trade Diplomacy vs. Economic Reality 01:19 – U.S. Markets: Solid Jobs, Weak GDP, Sticky Inflation (Fed Decision, S&P 500, Labor Market April 2025, GDP Q1 2025, Inflation April 2025) 03:23 – Eurozone & UK: Germany Surges, UK Housing Slows, BoE Cuts (Eurozone Markets, Bank of England Rate Cut, Germany Industrial Production, FTSE 100) 05:29 – Japan: Rally on Trade Optimism, But Wages Disappoint (Nikkei 225, TOPIX, Yen Weakening, Japan Wages March 2025) 07:01 – China: Massive Stimulus, U.S. Exports Drop 21% (China Economic Stimulus, PBOC Cuts, China Exports April 2025) 08:52 – Preview May 12–16: CPI, GDP, Retail Sales & More (Upcoming Economic Events USA, Europe, Japan, China) 10:13 – Top 5 Macro Risks to Watch Next Week (Financial Market Risks) 11:21 – Final Thoughts: Rebound or Prolonged Slowdown? (Fed Rate Forecasts Summer 2025, UK GDP Forecast Q1 2025) 💥 Markets move fast. So do we. Subscribe for the smartest, AI-powered macro recap 📌 Disclaimer: While this episode’s content and instructions were designed by a financial expert with 20+ years of experience, it is AI-generated and not based on real-time data. It may contain inaccuracies or omissions. This podcast is for educational and informational purposes only, and does not constitute investment advice. That said, *Markets Decoded* is a strong example of the value generative AI can already bring to global finance communication.

    12 min
  6. Markets Decoded - Trailer

    MAY 2

    Markets Decoded - Trailer

    Markets move every day — our intelligence helps you stay one step ahead. This is a highly innovative weekly podcast where two generative AIs debate the most important economic topics of the moment — from market swings and inflation to central bank policy and geopolitical tension. This isn’t just another market news summary. It’s a smarter, sharper analysis — based on expert-designed content and condensed into under 10 minutes. Whether you’re an investor, analyst, student, or simply curious to better understand global financial dynamics, *Markets Decoded* gives you a concise, powerful, data-driven perspective. The podcast is available in multiple languages. Each version is independently generated by AI from the same professional materials and instructions — not a translation, but a native version in each language. A valuable asset for anyone navigating multilingual or international environments. Disclaimer: Although the core materials are prepared by a financial markets expert with over 20 years of experience, the podcast is generated by artificial intelligence and is not based on real-time data. It may contain inaccuracies or delays. This podcast is an educational and informational resource only, and does not constitute investment advice. That said, we believe *Markets Decoded* powerfully demonstrates the value that generative AI already brings to multilingual economic content creation and distribution. 📅 Subscribe to *Markets Decoded* — a new episode every week!

    1 min

Trailer

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Markets Decoded is not just another market update — it's a cutting-edge, weekly podcast where two generative AIs deliver a sharp, multilingual synthesis of global market dynamics. In just ten minutes, you'll gain a clear, concise overview of: Global equity market trends Macroeconomic developments Central bank policy signals Emerging risks and geopolitical shifts But what truly sets this podcast apart isn’t just the AI — it’s the expertise behind it. Each episode is guided by a former portfolio manager with over 20 years of experience leading global equity and asset allocation teams at top-tier institutional investment firms. Today, as a recognized AI transformation leader, this expert designs the prompts, curates the input data, and ensures that each episode blends deep financial insight with the speed and clarity only AI can offer. Multilingual. Native. Not Just Translated. A cornerstone of Markets Decoded is its authentic multilingual design. These aren’t machine-translated copies — they are individually generated in English, French, German, Italian, Spanish, Chinese, and more (coming soon), based on the same curated financial inputs and expert guidance. Each version is fluid, idiomatic, and adapted to local linguistic standards — a powerful tool for those looking to explore, teach, or discuss financial markets globally, or to master key vocabulary in an international context. Disclaimer While each episode is crafted from inputs and guidance provided by a financial expert with over two decades of real-world experience, the final output is generated by artificial intelligence and may contain inaccuracies. This podcast is intended as a source of information, not financial advice. That said, we believe Markets Decoded is a powerful demonstration of what happens when institutional-level market expertise meets generative AI: It simplifies the complex. It scales globally. And it saves you time — without sacrificing clarity or credibility.

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