Real Vision: Finance & Investing

Real Vision Podcast Network
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Apr 23, 2024 • 38min

#1021 - Should You Steer Clear of Autos? | With Kevin Muir

Kevin Muir, author of The MacroTourist newsletter, discusses his macro framework, interest rates, auto sector significance, and investing in precious metals. Topics include fiscal stimulus impact, inflation uncertainty, auto industry challenges, investment strategies, gold miners performance, and market analysis.
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Apr 22, 2024 • 38min

#1020 - Will Earnings Help Stocks Rebound? | With Dale Pinkert

Dale Pinkert, Head of Trader Development at TradeGateHub, discusses current price action in equities, bond market moves, trading strategies for precious metals, and tech sector predictions for earnings season. Topics include S&P 500 chart predictions, earnings significance, geopolitical tensions, gold rally, Apple stock, cryptocurrency movements, and silver and agricultural market outlook.
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Apr 21, 2024 • 48min

The Big Picture with Raoul Pal

Financial expert Raoul Pal shares his insights on the intersection of macroeconomics and cryptocurrency, discussing the debasement of currency, potential of crypto investments, and the impact of debt and liquidity on global wealth. He explores the evolving crypto market landscape, institutional adoption, and the correlation between labor force participation rates, government debt, and demographics in shaping economies and policies.
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Apr 20, 2024 • 1h 20min

My Life in 4 Trades: Denise Shull

Denise Shull, a renowned performance coach and trading psychologist, shares her journey from an introspective youth to success on Wall Street. Topics include childhood reflections, exploring human behavior, understanding the crypto market, family influence, unconventional path to trading, and the importance of emotional intelligence in decision-making.
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Apr 19, 2024 • 37min

#1019 - How Global Conflict Impacts Markets | With Jacob Shapiro

Jacob Shapiro, director of geopolitical analysis at Cognitive Investments, discusses the evolving conflict in the Middle East, potential market implications, and opportunities in alternative regions. They explore the complex dynamics between Israel and Iran, potential scenarios, global conflicts, market volatility, and the impact of the US presidential election on financial markets.
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Apr 18, 2024 • 37min

#1018 - Real Vision Festival of Learning Review | With Ash Bennington & Maggie Lake

Ash Bennington and Maggie Lake review the Real Vision Festival of Learning, diving into macroeconomics, digital assets, geopolitical uncertainties, and investment strategies. They discuss insights from industry professionals, market trends, crypto landscape, and the unique features of Real Vision content. The podcast offers a comprehensive overview of the day's discussions and themes, making it a valuable resource for finance and investing enthusiasts.
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Apr 17, 2024 • 38min

#1017 - Is the U.S. Dollar Still a Safe Haven? | With Greg Weldon

Greg Weldon, CEO of Weldon Financial, discusses the impact of the U.S. dollar on equities, potential gold rally, Asian currencies, market stability, cryptocurrency, S&P 500 trends, geopolitical threats, gold as a safe haven asset, and outlook on base metals.
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Apr 16, 2024 • 32min

#1016 - Can Stocks Withstand Higher Rates? | With Tony Greer

Tony Greer, editor of The Morning Navigator, discusses the market action following Fed Chair Jerome Powell's comments on higher rates. He shares his outlook on oil amid tensions in the Middle East and identifies safe havens during market pullbacks. Topics include buying opportunities during dips, impact of higher yields on tech sectors, analysis of home construction and exploration stocks, shift to gold and Bitcoin as safe havens, and exploration of copper trade potential.
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Apr 15, 2024 • 54min

#1015 - What Geopolitic Risks Are Not Priced In? | with Jacob Shapiro & Marko Papic

Guests Jacob Shapiro and Marko Papic discuss Iran's attack on Israel and its market impact, the upcoming US election's global significance, and how geopolitical events can affect portfolios. They explore the US role in a multipolar world, Middle East dynamics, investment opportunities, and global market risks like bond market concerns. The podcast offers insights on foreign policy, trade impacts on inflation, and reflections on global issues.
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Apr 14, 2024 • 3h 4min

Raoul vs. Peter Schiff: An Impact Theory Debate

Raoul Pal and Peter Schiff debate the future of Bitcoin and its role in investment. They discuss global debt, asset inflation, wealth accumulation strategies, inflation, government spending, Bitcoin vs. gold, digital scarcity, and the risks of speculative investing. The conversation covers the value of Bitcoin as a currency, investment regrets, economic challenges, AI impact, rising inflation effects, and reevaluating investment strategies in a changing economic landscape.

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