

Masters in Business
Bloomberg
Barry Ritholtz speaks with the people that shape markets, investing and business.
Episodes
Mentioned books

Mar 26, 2024 • 1min
Listen Now: The Big Take
Exploring global economies and market dynamics, including the potential of Mexico electing its first female president and China's influence. The urgency in drug development and economic challenges from fake paperwork are discussed.

31 snips
Mar 22, 2024 • 1h 16min
Liz Ann Sonders on Behavioral and Sentiment Measures in Markets
Exploring market sentiment and performance dynamics, Liz Ann Sonders discusses behavioral measures in finance, AI tackling online issues, and navigating complex market dynamics. From car safety features to Florida real estate history, she provides investing advice while reflecting on past conversations.

18 snips
Mar 20, 2024 • 16min
At the Money: Benefits of Quantitative Investing
Explore the benefits of quantitative investing over emotional decision-making in the market. Learn about strategies like buying undervalued stocks with positive price momentum and combining value factors with price momentum for successful outcomes. Discover how quality-screened micro cap stocks can mimic the returns of private equity. Understand the importance of a systematic and disciplined approach in investing to navigate emotional investment decisions.

16 snips
Mar 14, 2024 • 57min
Mark Wiedman on Managing Money at BlackRock
Explore Mark Wiedman's journey at BlackRock, from financial advisory to iShares division. Learn about ETFs revolutionizing the market, stock options, and long-term value creation. Delve into AI's impact on investing, carbon emissions in agriculture, and insights for recent finance graduates.

5 snips
Mar 13, 2024 • 12min
At the Money: How To Know When The Fed Will Cut
Markets eagerly await the Fed's rate cuts. Insights on using unemployment claims data and wage growth to predict rate adjustments. Discussion on historical rates and labor market indicators. Effects of rate cuts on stock market and predictive indicators discussed.

11 snips
Mar 7, 2024 • 1h 14min
Sean Dobson on the US Real Estate Industry
Explore the complexities of real estate investments and mortgage markets, including the impact of the 2009 housing crisis and strategies for sustainable portfolio management. Dive into the changing landscape of real estate markets post-COVID and the role of large investors in housing dynamics. Discover the key to success in finance through family, partners, and mentors with valuable insights from Sean Dobson.

Mar 6, 2024 • 17min
At the Money: Knowing When You've Whipped Inflation
Former Federal Reserve economist Claudia Sahm discusses using CPI data to anticipate future Fed action and changes in interest rates. The podcast explores the impact of inflation on investors, comparing current trends to the 1970s. It also provides insights on various measures of inflation and core inflation, offering strategies for consumers and investors to address inflation concerns.

45 snips
Mar 1, 2024 • 49min
David Snyderman on Specialty Finance and Data in Investing
From corporate finance to hedge fund management, David Snyderman shares insights on risk management strategies, unique CDO investment tactics, and the evolution of investment strategies. He emphasizes the importance of cyber preparedness, AI ventures, corporate culture, and career advice in the finance industry.

Mar 1, 2024 • 2min
Introducing: The Deal with Alex Rodriguez and Jason Kelly
Podcast features intimate conversations with business titans, sports champions, and entrepreneurs revealing their investment philosophies and career moves. Discusses preparation for future uncertainties and opportunities with EY and upcoming event Power Players Jeddah.

28 snips
Feb 22, 2024 • 52min
Andrew Slimmon on Quantitative Factors in Markets
Explore Andrew Slimmon's journey from fundamental analysis to quantitative strategies in portfolio management. Learn about market trends post-March lows, applied investing strategies, and factors affecting stock price returns. Discover insights on market behaviors, fiscal stimulus impact, and evolution of products in investment management.


