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Economic Outlook

Steve Hanke: Recession Is Coming — The Fed, Trump & Wall Street Are Blind

Economist Steve Hanke says a U.S. recession is almost inevitable, and warns that the Fed, Wall Street, and Donald Trump are all looking in the wrong direction. In this sharp, wide-ranging interview with James Connor, he explains why ignoring money supply is a fatal flaw in today’s policy and why the economy may be headed for a major contraction.

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Flash Market Report: FundStrat’s Mark Newton Reacts to U.S.-China Trade Deal & Markets Surging

Stocks are ripping higher after news of a U.S.-China trade deal, but will it last? In this Wealthion Flash Market Report, Fundstrat’s Mark Newton joins Maggie Lake to react to the surprise announcement and explains why he believes this rally still has legs. Mark shares his outlook for tech stocks, treasury yields, and the dollar, and why June could bring a key market pullback even as the S&P targets 6,650 in 2025.

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Jonathan Wellum: How I’m Investing in an Overpriced Market

Markets are near all-time highs, volatily is back, debt levels are soaring, and economic uncertainty is growing — is now the right time to be fully invested? Anthony Scaramucci welcomes Rocklinc Investment Partners CEO Jonathan Wellum to unpack his value investing strategy, why he’s keeping 25% cash on hand, and how to protect and grow your wealth in an overheated market.

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The Most Uncertain Macro Outlook in Years | Michael Kao

Markets are caught in one of the most uncertain macro environments in years. With Trump’s disrupting policies, conflicting economic signals, volatile energy markets, and Federal Reserve uncertainty, investors are struggling to determine the right playbook. Michael Kao joins Maggie Lake to unpack what’s driving today’s macro confusion and where we might be headed next.

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This Week’s Must-Know Market News | ft. Peter Boockvar & Andy Schwartz | Rise UP!

Welcome to the latest episode of Rise UP! — your go-to weekly market and economic recap, where the biggest financial stories meet expert analysis. Hosted by two of the industry’s most accomplished voices, Rise Growth Partners’ Terri Kallsen, CFP®, and Joe Duran, CFA, alongside special guests Peter Boockvar (CIO of Bleakley Financial Group) and Andy Schwartz (Co-Founder & Principal of Bleakley Financial Group).

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Trump, The Fed, and 2025’s Coming Financial Rollercoaster | Jared Dillian

The Federal Reserve faces mounting uncertainty, Trump’s sweeping economic policies are set to reshape markets, and the bond market remains under immense pressure—making 2025 a year of financial turbulence. In this insightful interview, Andrew Brill sits down with Jared Dillian to unpack the Fed’s 2025 outlook, the potential return of yield curve control, transformative tax reforms, and how global rebuilding efforts in Ukraine and California could drive demand for commodities. Jared also analyzes the risks of public and tech sector layoffs, stock market volatility, and offers actionable strategies to protect and grow your wealth during these uncertain times.

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Jesse Felder: Warren Buffett & CEOs Are Cashing Out—Markets at Risk!

Are today’s markets on a fragile foundation? Jesse Felder thinks so. He sits down with Wealthion’s Andrew Brill to uncover why insider selling is off the charts, Warren Buffett is more cautious than ever, and top CEOs are cashing out of their stock holdings. Jesse dives into alarming recession signals, the hype surrounding AI, the risks of passive investing, and the dollar’s overvaluation. Plus, learn why commodities could dominate in the years ahead and what the Federal Reserve’s policies mean for your portfolio.

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Henrik Zeberg: The Everything Market Bubble – Why & When It’s Bursting

Global markets are on the brink, warns Henrik Zeberg, Head Macro Economist at Swissblock. With overvalued stocks, skyrocketing Bitcoin, and rising economic instability, the “Everything Bubble” is nearing its bursting point. In this insightful interview with James Connor, Henrik discusses key market risks, the looming threat of deflation, and how Federal Reserve policies could trigger stagflation by late 2025. Learn what these shifts mean for your investments and how to prepare for the challenges ahead.

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Market Recap: Bitcoin to $250k | Trump 2.0 | S&P to 15k | U.S. Economy | Risk Management

– Tom Lee shares his bold prediction of Bitcoin reaching $250k next year and explores the broader crypto market’s evolution, including the impact of Gen Z and AI on the S&P’s long-term growth, which he projects will reach 15,000 by 2030. – Jason Trennert offers a measured outlook on earnings, capital expenditures, and housing affordability while analyzing the potential implications of new Treasury leadership. – Ron William discusses post-election market euphoria, potential corrections, and Bitcoin’s meteoric rise alongside the importance of risk management. – Ram Ahluwalia delves into value vs. growth stocks, investment opportunities in agency mortgage bonds and private credit, and the challenges of investing in nuclear energy.

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