Excess Returns

Excess Returns
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Mar 31, 2026 • 58min

The Stagflation Regime | Aahan Menon on What Works When Stocks and Bonds Don’t

Aahan Menon, founder of Prometheus Research and macro strategist focused on commodities and trend following, explains why an energy-driven inflation shock could upend stocks and bonds. He walks through stagflation risk, why commodities and FX look attractive, and how systematic trend frameworks and crisis overlays can help preserve portfolios in regime shifts.
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18 snips
Mar 30, 2026 • 1h 3min

6x Earnings. 10x Potential. | Harris Kupperman on the Inflections Wall Street Misses

Harris Kupperman, hedge fund manager and founder of Praetorian Capital known for inflection investing. He explains finding unloved assets with asymmetric upside. He discusses using macro, politics and elections to spot big moves. Argentina and other international opportunities get special focus. He contrasts long-horizon, low-downside trade structures with short-term Wall Street thinking.
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49 snips
Mar 28, 2026 • 1h 10min

The Moment Common Knowledge Changed | Last Call - With Andy Constan, Ben Hunt, Brent Kochuba and Eric Pachman

Eric Pachman, data analyst who tracks granular labor trends. Brent Kochuba, options and flows specialist who studies dealer hedging. Ben Hunt, narrative strategist focused on common-knowledge shifts. Andy Constan, macro strategist studying oil shocks. They discuss how an oil-driven shock reshapes growth and inflation. They explain common-knowledge moments that flip asset preferences. They show how options flows and labor data can mask real market risk.
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20 snips
Mar 26, 2026 • 1h

The Private Credit Apocalypse That Isn’t Coming | Larry Swedroe Dispels the Myths

Larry Swedroe, author and investment researcher known for portfolio construction and empirical finance, breaks down private credit myths. He explains what private credit is, why it grew after 2008, and the three core risks: credit, liquidity, and concentration. Short takes cover illiquidity premiums, fund structures, media exaggeration of systemic risk, and how AI may affect software lending.
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29 snips
Mar 25, 2026 • 58min

Nothing Is Priced In | Bob Elliott on Why Investors Are Misreading the Oil Shock

Bob Elliott, macro investor and founder of Unlimited Funds, explains why a rising oil shock could be mispriced and create fragility as economies shift toward savings. He discusses how higher gas acts as an inflation tax, why markets may understate growth damage, how deleveraging and volatility reshape trades, and how AI’s productivity claims interact with labor and demand.
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31 snips
Mar 23, 2026 • 1h 12min

The 0.1% Winners | Chris Mayer and Robert Hagstrom on Why Outliers Drive Returns

Chris Mayer, investor and author who studies 100-baggers, and Robert Hagstrom, long-term value investor and Buffett scholar, discuss why markets are driven by extreme winners. They debate base rates versus studying outliers. They explore power laws, durable moats, AI’s potential to change base rates, and how earnings growth plus multiple expansion create outsized returns.
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55 snips
Mar 21, 2026 • 1h 10min

Big Decline. Options Support Gone | Brent Kochuba on the Fragile Market Setup

Brent Kochuba, options market specialist and founder of SpotGamma, explains why calm markets hide rising volatility risk. He breaks down put-heavy positioning, market maker hedging, OPEX turning points, and how geopolitical and credit pressures could trigger a sharp vol spike or price move. Short-term flow dynamics and the JP Morgan collar’s sticky levels get special attention.
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28 snips
Mar 19, 2026 • 1h 3min

The War Markets Can't Price | Jared Dillian on the Regime Change Investors Miss

Jared Dillian, former Wall Street trader and market commentator who runs the Daily Dirt Nap newsletter, explains why markets underprice regime shifts and geopolitical shocks. He discusses inflation flipping stock‑bond dynamics, commodities surging from energy to agriculture, the appeal of being long options, and why private markets and Fed moves matter for portfolio construction.
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16 snips
Mar 16, 2026 • 1h 5min

They Call It a Lottery Ticket. The Data Says Otherwise | D.A. Wallach on The Hidden Alpha of Biotech

D.A. Wallach, venture capitalist and co-founder of Time BioVentures who invests at the intersection of biotech and tech. He explains valuing development-stage drug companies as portfolios of options. Topics include why specialists can still earn alpha, how base rates and interest rates shape biotech valuations, AI’s incremental role in drug discovery, and portfolio construction for high-uncertainty investments.
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9 snips
Mar 15, 2026 • 1h 5min

14% for Tech. 1% for Everyone Else | The Weekly Wrap – 3/14/2026

Joseph Shapochnik, portfolio manager focused on compounding businesses, discusses AI disruption, defense spending surges, and company readiness for headlines. Jim Paulsen, economist and market strategist, explains his 'new era' split and the role of macro policy. Vitaliy Katsenelson, value investor and author, promotes humility, diversification, and surviving markets. They cover AI’s impact on software, sector divergence, defense as a long tailwind, and valuation headwinds.

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