
Wendy Schiller
Professor of Political Science at Brown University with expertise in American politics, elections, and congressional-executive relations, who discusses war powers, primaries, and political ramifications.
Top 10 podcasts with Wendy Schiller
Ranked by the Snipd community

25 snips
Feb 19, 2026 • 36min
US Jobless Claims Fall as Trade Deficit Widens
Mishal Husain, broadcast journalist covering breaking royal news, outlines the arrest of former Prince Andrew and UK reactions. Wendy Schiller, Brown political scientist, analyzes presidential strategy, midterm dynamics and tariff politics. Liz Ann Sonders, Chief Investment Strategist, talks market rotation, AI-driven sector shifts and earnings versus valuation trends.

16 snips
Nov 26, 2025 • 21min
Bloomberg Surveillance TV: November 26th, 2025
Amy Wu Silverman, Head of Derivatives Strategy at RBC Capital Markets, shares insights on hedging demand and the dynamics of volatility in the MAG-7 tech stocks. Wendy Schiller, an expert in U.S. politics, discusses how domestic economic issues influence policy and upcoming elections. Barbara Doran, CEO of BD8 Capital Partners, talks about the implications of AI on equity strategy and investment timing, while examining CapEx demands in the tech sector. A riveting conversation on how these elements shape the current market landscape.

16 snips
Nov 13, 2025 • 32min
Markets Face Clouded Rate Outlook as Record US Shutdown Ends
Tiffany Wilding, Managing Director at PIMCO, discusses how data delays from the recent government shutdown complicate Federal Reserve forecasting and potentially impact GDP growth. Political scientist Wendy Schiller analyzes the surprising bipartisan support for the shutdown compromise, citing protections for vulnerable groups. Kimberly LaPointe from Macquarie Asset Management reveals the benefits of private infrastructure investing, highlighting its value for wealth clients seeking diversification and stable returns amidst economic shifts.

15 snips
Mar 5, 2026 • 42min
Iran Endgame in Question as Geopolitical Stress Deepens
Wayne Sanders, former military officer turned defense analyst, breaks down munitions, stockpiles and limits of air power. Wendy Schiller, Brown political scientist, explains war powers, primaries and electoral stakes. Fiona Greig, Vanguard policy head, reveals what 401(k) data says about the labor market and young savers. John Ryding, market economist, links geopolitical shocks to inflation, energy and monetary policy.

15 snips
Nov 25, 2025 • 36min
Trump Moves to Preserve Xi Truce While Reassuring Ally Japan
Elizabeth Economy, a leading China scholar, delves into Xi Jinping's military reforms and the increased threats to Taiwan, highlighting concerns about U.S. policy. Financial analyst Chris Whalen emphasizes the role of Fannie and Freddie in housing finance and Bitcoin's transformation into a speculative asset. Political science professor Wendy Schiller discusses the impact of domestic pressures on Trump's foreign policy, especially in relation to military advice and Ukraine peace efforts. It's a riveting exploration of geopolitics and finance!

13 snips
Jan 9, 2025 • 39min
LA Wildfires Burn Out of Control
Wendy Schiller, a Brown University professor specializing in American politics, shares insights on Jimmy Carter's enduring legacy, connecting it to today's economic challenges and environmental policies. Louis Navillier, founder of Navellier & Associates, discusses market trends from the Carter era and contemporary implications. They explore the devastating LA wildfires, their ties to climate change, and the political responsibility for current energy solutions. The conversation also touches on the importance of trust in business amidst these pressing issues.

13 snips
Dec 26, 2024 • 28min
Bloomberg Surveillance TV: December 26, 2024
Peter Tchir, Head of Macro Strategy at Academy Securities, predicts increased market volatility in January, urging vigilance among investors. Wendy Schiller, Director at Brown University, discusses the complexities facing the incoming Trump administration, emphasizing that quick victories are unlikely despite a Republican trifecta. The conversation also touches on global investment opportunities, with a focus on China amidst rising trade tensions and geopolitical strategies that could reshape U.S.-Europe relations.

12 snips
Jan 22, 2026 • 30min
Dollar Steadies as Greenland Tensions Ease
Wendy Schiller, a political science professor at Brown University, shares insights on the current U.S. diplomatic stance, emphasizing economic leverage over traditional treaty methods. She also discusses how domestic politics are shifting focus away from foreign policy. Meanwhile, Jane Foley, head of FX strategy at Rabobank, analyzes the dollar's variable status, noting skepticism around the yen and arguing for the dollar's potential stability due to U.S. equity strength and global corporate investments.

12 snips
Feb 20, 2025 • 44min
Trump Policy Proposals and Market Impacts
Jason Furman, a Harvard economic policy professor, critiques the Biden administration's economic policies. Wendy Schiller from Brown University analyzes current political tensions, especially regarding U.S. involvement in Ukraine. David Sowerby of Ancora shares his stock picks in light of market trends. They discuss how Trump’s policy proposals could sway markets and the intricate dynamics between Congress and the executive branch. Additionally, they explore the ramifications of tariffs and the evolving fiscal landscape as America braces for political upheaval.

11 snips
Mar 27, 2025 • 34min
Market Fears Grow after President Trump's Auto Tariffs
Julia Pollak, Chief Economist at ZipRecruiter, shares insights on the labor market amidst recent jobless claims and President Trump’s looming auto tariffs. She discusses potential inflation impacts as Core PCE data is awaited. Wendy Schiller, a Brown University professor, offers analysis on the political ramifications of these tariffs and the international backlash, including from the EU and Canada. They explore the implications for U.S. manufacturing jobs and how investors are adjusting strategies in light of these economic uncertainties.


