Épisodes

  • US Markets Wrap: Inflation Patience, Retail Caution, and Geopolitical Risk
    Feb 20 2026

    U.S. stocks pulled back, leaving the S&P 500 hovering near flat for the year as investors rotated out of financials and kept a close eye on simmering tensions between the United States and Iran. Steve Sosnick, Chief Strategist, Interactive Brokers examines mixed corporate signals from Walmart and Deere & Company, and what they reveal about the consumer and cyclical outlook. With the Personal Consumption Expenditures Price Index expected to edge higher, we ask whether inflation is stalling — and if markets are too optimistic on rate cuts.

    Produced/Presented: Ryan Huang

    See omnystudio.com/listener for privacy information.

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    9 min
  • US Markets Wrap: Navigating AI Frenzy and Market Divergence in 2026
    Feb 19 2026

    David Abella, Director of Investments, GoalVest breaks down the latest moves in the U.S. stock market. The S&P 500 climbed on tech gains while the equal-weight index outperformed signaling a shift in leadership. We explore where smart money is rotating in technology, how AI is driving capital expenditures and which sectors could benefit. David also shares insights on earnings trends market valuations and potential triggers for volatility along with strategies for dividends international markets and hedges like gold.

    Produced/Presented: Ryan Huang

    Image: Frank Rietsch from Pixabay

    See omnystudio.com/listener for privacy information.

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    9 min
  • US Markets Wrap: When AI Becomes the Market’s Biggest Risk
    Feb 13 2026

    Wall Street tumbled as investors shifted from cheering AI’s promise to fearing its disruption, with the Dow plunging 670 points and tech and software stocks extending steep losses. From financials to freight and real estate, concerns over job losses and squeezed profit margins rattled sentiment, even as some strategists argue the selloff may be overdone. Brenda Vingiello, Chief Investment Officer, Sand Hill Global Advisors unpack the volatility, defensive rotation into staples, and what the upcoming inflation data could mean for markets next.

    Produced/Presented: Ryan Huang

    Image: Frank Rietsch from Pixabay

    See omnystudio.com/listener for privacy information.

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    9 min
  • US Markets Wrap: Retail Reality Check as Wall Street Splits
    Feb 11 2026

    Matt Maley, Chief Market Strategist, Miller Tabak looks at the US markets sending mixed signals as softer retail sales rattled confidence in the consumer outlook. The S&P 500 and Nasdaq slipped amid pressure on major retailers and fresh worries about AI’s impact on finance, while the Dow defied the gloom to notch another record close above 50,000.

    Produced/presented: Ryan Huang

    See omnystudio.com/listener for privacy information.

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    8 min
  • US Markets Wrap: Markets Climb with Tech in Focus
    Feb 10 2026

    Markets opened the week on a strong note as technology stocks drove gains across major indexes. The S&P 500 rose for a second consecutive day while the Dow hit a record close. Nvidia and Broadcom continued their rally and Oracle surged after an analyst upgrade fueled by AI optimism. Kyle Rodda, Senior Financial Market Analyst at Capital.com looks at how investors are positioning for the delayed January jobs report following weak ADP numbers and await a fresh round of earnings releases. He also breaks down Japan's sharp rise in the stock market following a resounding election win by PM Sanae Takaichi.

    See omnystudio.com/listener for privacy information.

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    9 min
  • US Markets Wrap: Tech Takes the Hit as Wall Street Loses Its Nerve
    Feb 4 2026

    A renewed sell-off in technology stocks pulled the S&P 500 lower and sent the Nasdaq down 1.5 percent, with Advanced Micro Devices among the notable laggards. The Dow managed to rise, but the overall tone remained defensive. Crypto markets mirrored the caution, as bitcoin dropped more than 3 percent after breaking below the $73,000 mark. José Torres, senior economist at Interactive Brokers discusses what investors are concerned about most now.

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    10 min
  • US Markets Wrap: Tech Selloff and Dollar Signals
    Feb 4 2026

    The S&P 500 pulled back as investors rotated out of tech stocks, while the Dow briefly touched a new record. The Nasdaq slipped further with heavy losses among the Magnificent Seven and software names. Dilin Wu, Research Strategist, Pepperstone explores what’s happening in precious metals, with gold and silver stabilizing after a correction and technical factors supporting short-term rebounds.

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    10 min
  • US Markets Wrap: Dollars, Data and Deals
    Jan 30 2026

    Daniel Tan, Portfolio Manager, Grasshopper Asset Management breaks down the Fed’s rate decision, the dollar outlook, and where equities, Asian markets and gold could move next. He looks at how AI spending by tech giants is reshaping opportunities and which sectors and regions are set to outperform.

    See omnystudio.com/listener for privacy information.

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    9 min