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Finance (5)

Inside the AI Gold Rush: Where to Invest

The AI boom is reshaping markets and creating once-in-a-generation opportunities for investors—but only for those who can navigate its challenges. In this interview, Andrew Brill speaks with Ram Ahluwalia, co-founder and CEO of Lumida Wealth, about the winners and losers of the AI revolution, from market leaders like Nvidia to supply chain opportunities. Beyond AI, Ram offers insights into macroeconomic trends, the Fed’s actions, and nuclear energy as part of the evolving investment landscape. This timely conversation reveals how to position yourself for success in a transformative era where innovation meets shifting global dynamics.

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Is the Market Rally Setting Up a Bull Trap? Euphoria To End Soon | Ron William

Markets have soared over the past two years, with an extra push after Trump’s U.S. election victory—but is this euphoria masking deeper risks? James Connor sits down with Ron William, CFTe, Founder & Principal Market Strategist at RW Advisory, who shares his insightful analysis and exclusive chart presentation to uncover late-stage market signals, historical parallels to 2008, and inflationary trends that could reshape 2025 and beyond. Learn how behavioral sentiment drives market dynamics, why Bitcoin’s momentum may reverse, and where commodities fit into the picture. Packed with actionable insights, this must-watch interview will prepare you for the challenges and opportunities ahead.

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Top Wall St. Strategist Jason Trennert on U.S. Debt, Fiscal Policy, Inflation & The Fed

Jason Trennert, CEO, Chief Investment Strategist, and Co-Founder of Strategas Research Partners, joins Wealthion’s Andrew Brill to discuss the U.S. debt crisis, fiscal policy, inflation risks, and the Federal Reserve’s challenges. With $36 trillion in national debt, surging interest payments, and inflation not fully gone, is America facing a fiscal reckoning? Trennert explains how short-term funding, monetary policy, and market trends are shaping the nation’s financial future. Don’t miss this expert take on what’s next for the economy, housing, markets, and your wealth.

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Plan Like a Pro: Avoid These Costly Year-End Financial Mistakes

Unlock expert year-end financial strategies with WindRock Wealth’s Brett Rentmeester and Brandy Maben. Learn actionable tips to save on taxes, maximize retirement contributions, and leverage gifting tools like donor-advised funds and 529 plans. Whether you’re minimizing this year’s tax bill or setting the stage for long-term wealth, this discussion is your guide to finishing the year financially strong.

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Gordon Johnson: Why Inflation Will Surge Again & Recession Is Near

Gordon Johnson, CEO & Founder of GLJ Research, joins James Connor to deliver a compelling analysis of why inflation is set to surge and how key economic indicators are flashing recessionary warnings. He delivers a sharp critique of Federal Reserve policies, highlights the growing disconnect between the stock market and the real economy, and explains why he’s now even more bearish about Tesla. Gordon also expands on investment strategies to protect your wealth in an inflationary environment and explains why he’s very bullish on uranium and nuclear power.

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David Rosenberg: Trump Is Walking Into A HUGE Market Bubble Landmine

David Rosenberg, Founder of Rosenberg Research, issues a bold warning about an impending market bubble burst, citing “stupid expensive” valuations as markets buy in the impact of Trump’s policy agenda. He joins Anthony Scaramucci in this exclusive post-election interview to explain why inflation, political polarization, and soaring debt levels could destabilize the economy, leaving investors exposed to serious risk. Rosenberg advises shifting to safe-haven assets like gold and bonds to protect against the fallout he sees as inevitable. He also discusses how geopolitical conflicts, particularly with Iran and U.S.-China tensions, add further volatility to an already uncertain market. A must-watch Speak Up conversation!

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Inside the Markets: Hidden Dangers & Investment Insights | David Lin

David Lin of The David Lin Report dives into the hidden dangers in today’s market, from soaring debt and geopolitical risks to Trump’s tariffs, unusual asset correlations, and the evolving roles of gold and crypto. He shares his investment philosophy and offers actionable insights for navigating these uncertain times. Join Wealthion’s Andrew Brill and David in this in-depth Speak Up conversation—essential for anyone aiming to thrive in the financial landscape of 2025 and beyond.

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Sprott’s John Ciampaglia: The New Gold Rush – Why Big Investors Are Turning to Gold & Uranium

Gold has surged this year, and uranium demand is rising as central banks, tech giants, and major players pour into these metals. James Connor interviews John Ciampaglia, CEO of Sprott—a $30+ billion asset manager specializing in precious metals—to reveal why gold is seen as a shield against economic risks and why uranium is crucial to big tech’s massive AI expansion plans. Learn how these strategic assets could protect your wealth and strengthen your portfolio.

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Managing $6 Billion: Michael Binger on Elections, Market Risks & Investing

Michael Binger, who oversees $6.5 billion in assets, shares essential investment strategies to navigate today’s market risks. From inflation concerns and recession threats to the potential impact of election outcomes, Binger offers insights into balancing growth and protection in your portfolio. Learn why he believes in a balanced 60/40 investment approach, his take on international markets like China and Brazil, and the importance of separating politics from financial planning. Whether you’re preparing for retirement or looking to secure your wealth, this conversation provides actionable advice for uncertain economic times

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Why Central Banks Are Betting Big on Gold & What It Means for Your Wealth

As economic risks escalate, central banks are making a big bet on gold—and so are savvy investors. Chris Mancini, mining analyst and associate portfolio manager at Gabelli Funds, a $30 billion asset manager, joins James Connor to discuss the forces driving this trend, from inflation and currency concerns to the potential for hyperinflation, making gold a critical safe-haven asset. Learn why investors are following central banks’ lead into gold—and likely moving into silver. Chris also dives into opportunities and challenges in the gold mining equity space, offering insights for those looking to broaden their investment strategy.

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