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Finance (2)

Marc Faber On Bubbles, Markets & Inflation

In this thought-provoking conversation with Anthony Scaramucci, legendary investor Marc Faber, publisher of The Gloom, Boom & Doom Report, shares his insights on the state of the global economy, central bank policies, and the long-term effects of inflation on wealth and society.

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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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Michael Oliver: Why Momentum Says This Market Is in Trouble

James Connor welcomes Michael Oliver, founder of Momentum Structural Analysis, to explain why his momentum models are flashing major warning signals that most investors are ignoring. Unlike traditional price charts, momentum signals structural weakness before price reacts — and right now, the NASDAQ, S&P 500, and other key markets are showing the same patterns seen before past bear markets.

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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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Massive Debt and Big Changes: A New Economy Is Emerging | Brett Rentmeester

A New Economy Is Emerging – Are You Ready? With $36 trillion in U.S. debt, failing institutions, and historic economic and technological shifts, we are heading into a period of massive disruption. Brett Rentmeester breaks down why the old financial system is unsustainable and what’s next for investors.

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How China ‘Leapfrogged’ the West | Louis-Vincent Gave

China is transforming the global economic order. Beyond the headlines on DeepSeek AI, the country is outpacing the West in key industries like EVs, solar panels, and nuclear power while securing a record-breaking and growing $1 trillion trade surplus. In this must-watch interview, Louis-Vincent Gave joins James Connor to explain how China’s strategic and long-term planning, emerging market dominance, and infrastructure investments are reshaping markets—and what this means for the West’s future. Plus, learn the risks of rising energy prices, inflation, and shifting geopolitics—and how they could impact your financial future. Don’t miss this essential analysis of today’s global economic and geopolitical landscape.

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Passive Investing Poses Systemic Economic & Market Risks | Michael Green

Financial markets are more concentrated than ever, with a handful of companies dominating the stock market like never before. In this insightful Speak Up interview, Anthony Scaramucci sits down with Simply Asset Management’s Michael Green to examine how this unprecedented market concentration creates systemic risks—not just for the stock market, but for the broader economy. Together, they delve into the brewing crisis in passive investing and its potential to destabilize America’s financial system. Plus, Michael unpacks Bitcoin’s biggest challenge and his thought-provoking vision for humanity’s future. Don’t miss these essential insights to navigate today’s most pressing financial risks and prepare for what’s ahead.

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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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The U.S. Debt Crisis: $36 Trillion and ‘No Way Out’? | Chris Casey

U.S. debt could spiral out of control into a full-blown solvency crisis. A rapidly growing $36 trillion U.S. Government debt threatens markets and the global economy. In this eye-opening interview, Andrew Brill welcomes WindRock Wealth’s Chris Casey to explain why we’re already in “crisis mode,” how you can hedge this, and whether there’s truly ‘No Way Out.’

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