Episodes (Page 3)
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Discussing potential stagflation in the US economy.
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Inflation continues to rise, putting the Federal Reserve in a difficult position.
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Discussing investment strategies for 2026 post-stock market drop.
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Jobs report exceeded expectations, impacting interest rate cut predictions.
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Federal Reserve's money printing is accelerating inflation.
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US stagflation risk is increasing due to inflation and slowing growth.
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Learn a simple 4-investment strategy for building a stock market portfolio.
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Housing market in 2026 faces surging hidden costs.
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Discusses the paradox of rising inflation alongside the Federal Reserve's rate cuts.
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Private credit's rapid growth poses a new systemic risk.
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Americans face significant debt and missed payment challenges.
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CPI report shows inflation surge, driven by rising gasoline prices.
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Bond market signals potential US debt crisis.
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Jobs report shows significant economic slowdown, raising recession fears.
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Rising gasoline and oil prices are increasing the risk of a recession.
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Market reacts to Iran tensions, suggesting de-escalation is priced in.
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Trump proposes building 1 million new homes to address housing crisis.
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Discusses potential new tariffs on Chinese goods, impacting consumers directly.
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Supreme Court blocked Trump's tariffs, impacting international trade policy.
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Interest rate cuts are anticipated soon.