

Barron's Streetwise
Barron's
Get the lowdown on high finance each week with Barron’s columnist Jack Hough. Business leaders and trendspotters, insights and absurdities—this is Wall Street like you've never heard before.
Episodes
Mentioned books

Mar 27, 2026 • 37min
Airplane Stocks Sold Off. Time to Land Some Deals?
Tom Fitzgerald, airline analyst at TD Cowen, gives a quick take on which carriers can handle a 62% jet fuel jump and why demand still holds. He breaks down capacity discipline, Delta and United’s resilience, fuel hedging and Delta’s refinery edge. Also covers how higher fuel could reshape industry winners and which strategies boost airline profitability.

Mar 20, 2026 • 36min
GM, Ford, Tesla, and Robo-taxis
Dan Levy, a Barclays car analyst covering automakers, EVs and autonomous driving, breaks down who benefits as gas prices rise. He discusses the shift to profitable trucks and SUVs. He explores used-car trends, Waymo and robo-taxis, Tesla's AI pivot, and why Barclays prefers GM over Ford.

15 snips
Mar 13, 2026 • 41min
Tacos and Robots
Zornitsa Todorova, Barclays thematic researcher focused on robotics and the coming humanoid economy. Chris Turner, CEO of Yum Brands overseeing Taco Bell, KFC and Pizza Hut. They talk franchising and unit economics, international expansion and menu strategy. They discuss robotics categories, dexterous hands, production bottlenecks and timelines for humanoid helpers.

12 snips
Mar 7, 2026 • 32min
Iran, Oil, and the Stock Market
Discussion centers on the Strait of Hormuz closure and its effect on Brent crude hitting $90. Analysis of military strikes’ scale and how U.S. markets stayed calm despite oil spikes. Exploration of which countries and sectors win or lose from higher energy prices. Scenarios for Iran’s political future and likely regional spillovers. Practical investor maneuvers like diversification and dividend tilts are reviewed.

Feb 27, 2026 • 34min
The Anything-But-AI Rally. Plus, Social Security’s Countdown.
Brett Ryan, an economist at Deutsche Bank, explains the U.S. fiscal outlook and looming Social Security timing. He discusses tariffs, deficit drivers, demographic pressures, and the 2032 trust fund deadline. He also covers how CBO assumptions and Fed credibility shape borrowing costs and macro risks.

Feb 20, 2026 • 37min
A Compost Man Talks A.I. Vibe-Coding. Plus, Agco’s CEO.
Eric Hansotia, CEO of AGCO and leader in farm equipment and precision ag, discusses farm economics and product innovations. He covers retrofit precision-tech that upgrades mixed fleets. He talks about pricing models and why farmers resist subscriptions. He highlights AI-driven planting and spraying tools that boost efficiency and reduce inputs.

Feb 13, 2026 • 36min
Where's the Beef?
A reporter investigates why steak prices are surging while the U.S. cattle herd is the smallest in 75 years. Visits to Texas ranches reveal drought, land pressures, heifer retention and auction dynamics. Auction scenes show who profits and how feedlot and packing economics shape prices. Livestock theft and screwworm/import limits add unexpected twists.

16 snips
Feb 6, 2026 • 20min
Frothy Valuations and Fancy-Pants ETFs
Listener questions drive a dive into whether stock valuations have permanently shifted and what that means for diversification. A clear comparison of broad index funds versus sector and niche ETFs highlights cost and concentration tradeoffs. The risks of using margin to boost returns are discussed. The role of dividends in long-term returns is also explored.

Jan 30, 2026 • 33min
Gold, Debasement, and Henry VIII
A lively mix of finance topics including Fannie Mae’s role and the complications around privatizing it. A comparison of Ripple/XRP and crypto versus precious metals. A historical anecdote about Henry VIII’s coin debasement framed as the modern 'debasement trade'. Discussion of gold’s recent surge and implications for markets. Listener Q&A on rebalancing and scrip dividend mechanics.

14 snips
Jan 23, 2026 • 28min
'Sell America?' Careful There.
Lori Calvasina, Head of U.S. Equity Strategy at RBC, offers a concise market roadmap. She breaks down what "sell America" really means and whether trimming U.S. exposure makes sense. Lori explains valuation frameworks, geopolitical pricing, and a four-tier fear scale. She recommends practical tilts from growth to value and stresses focus on company-level earnings.


