

Motley Fool Money
The Motley Fool
Motley Fool Money is a daily podcast for stock investors.Weekday episodes offer a long-term perspective on business news with The Motley Fool's investment analysts. Weekend shows are a mix of investing classes and longer-form interviews.
Episodes
Mentioned books

29 snips
Jan 1, 2026 • 23min
Investing in 2026: A Plan You Can Stick With
Investing habits for 2026 take center stage as hosts unpack the common pitfalls of New Year's resolutions. One shares personal mistakes, illustrating the lessons of resilience and adaptation in investing. They also emphasize the importance of focusing on robust processes rather than vague goals. Practical tips like dollar-cost averaging and investing in beloved brands are highlighted to enhance consistency. Finally, the value of a jointly managed portfolio is discussed, promoting discipline and informed risk-taking.

33 snips
Dec 31, 2025 • 24min
3 Stocks We Love in 2026
Investment analyst Lou Whiteman, who focuses on sectors like space and defense, joins healthcare analyst Rachel Warren to discuss exciting stock prospects for 2026. Lou highlights the potential of space companies like Rocket Lab, emphasizing their resilience and future applications. Rachel dives into TransMedics' innovative organ care system and the disruptive nature of Hims & Hers in healthcare. They explore the challenges and opportunities within these industries, merging tech and healthcare insights with a forward-looking investment lens.

6 snips
Dec 30, 2025 • 22min
Oil Glut, Wind Freeze, and Energy Policy in the Year Ahead
Emily Flippen chats with Jason Hall, an energy industry analyst experienced in oil markets, and Keith Speights, a Fool analyst specializing in energy and utilities. They dive into the geopolitics affecting oil prices and the state of the energy transition, discussing the implications for investors in 2026. Jason shares insights on U.S. production resilience and attractive yet risky oil stocks. Keith highlights renewable energy growth and who's poised to benefit from permitting reforms, offering strategic moves for investors going forward.

Dec 29, 2025 • 20min
Can These Three 2025 Losers Turn It Around?
Investment analysts Travis Hoium and Tom King dive into whether Supermicro, Lululemon, and Nike can bounce back from their 2025 struggles. They tackle Supermicro's dangerous audit problems and mounting debt, ponder Lululemon's brand resilience amid fashion shifts, and critique Nike's strategic missteps under new leadership. While there's hope for Supermicro's AI potential, both guests caution that Nike's turnaround won't happen overnight. A lively analysis of these companies' futures awaits!

14 snips
Dec 28, 2025 • 23min
Interview with NYU Professor Vasant Dhar: Thinking With Machines
Vasant Dhar, an AI pioneer and NYU Stern Professor, explores the evolving relationship between humans and machines. He shares impactful childhood experiences from India and Ethiopia that fueled his curiosity. Dhar discusses how AI can mimic human decision-making through heuristics and its applications in finance and sports. He emphasizes the importance of retaining a personal voice in writing and offers warnings about the cognitive risks of over-reliance on AI. This conversation dives deep into the future of AI governance and decision-making.

41 snips
Dec 27, 2025 • 49min
What Great Investors Do
William Green, a prominent financial writer and author of 'Richer, Wiser, Happier', joins in for a deep dive into what sets great investors apart. He explores how successful investing hinges on personality traits, with insights from legends like Charlie Munger and Howard Marks. Green discusses the importance of intellectual compounding and contrast between cloning strategies of successful investors and the maverick spirit of others. He highlights key principles such as recognizing limits, maximizing value, and the courage to invest against the tide.

14 snips
Dec 26, 2025 • 42min
The Most Shocking Stories of 2025
Lou Whiteman, an insightful investment analyst, and Emily Flippen, a savvy market commentator, dive deep into the market shocks of 2025. They recount the surprise impact of tariffs and the fierce AI competition between OpenAI and Google. Gold's impressive performance takes center stage, as analysts ponder its divergence from stocks and Bitcoin. The discussion spans interest rates, bond yields, and their implications, wrapping up with a quiz on 2025's biggest market winners and losers. A must-listen for market enthusiasts!

4 snips
Dec 24, 2025 • 16min
Our Stock Market Naughty and Nice List
Lou Whiteman, a stock analysis expert, and Rachel Warren, a healthcare and consumer stocks specialist, dive into their naughty and nice lists for 2025. They highlight standout performers like Alphabet, Mercado Libre, and NVIDIA while critiquing underwhelming stocks such as Target and Fiserv. Rachel emphasizes the future of buy-now-pay-later models in retail, while Lou targets overlooked financials and space companies to watch. With an eye for 2026, they share their top picks for holiday shopping in the stock market.

Dec 23, 2025 • 21min
Economic Data Catch-Up
In this discussion, Fool analysts Jason Hall and Jeff Santoro dive into the latest economic data waves following a government shutdown. Jason suggests CareTrust REIT (CTRE) as a smart long-term investment, while Jeff highlights resilient retailers like Walmart (WMT) and Costco (COST). They analyze CPI and job reports, cautioning investors about interpreting imperfect data. The duo also emphasizes watching key signals like bank provisions and consumer trends for insights into economic strength as they ponder potential market shifts heading into the new year.

12 snips
Dec 22, 2025 • 24min
Can These Three 2025 Winners Keep Winning?
Alicia Alfiere, an investment analyst, and Keith Speights, a savvy stock commentator, dive into the future of three market winners. They discuss how AI demand propelled Micron's 2025 success, with Alicia highlighting risks to its valuation. Keith underscores Robinhood's stellar returns from strategy and market conditions, yet warns of future uncertainties. Finally, they explore Newmont's impressive cash flow and the influence of gold prices, suggesting moderate macro risks could buoy its performance. Tune in for expert insights!


