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In this Buy Hold Sell Special Report, Wall Street veterans Todd M. Schoenberger and Tobin Smith sit down with Dean Smith, Chief Strategist and Portfolio Manager at FolioBeyond, for a high-stakes conversation on the rising risks of stagflation, market volatility, and the global economic outlook.
Dean shares his bearish perspective on the U.S. economy, citing persistent inflation, unresolved U.S.-China trade tensions, and a Federal Reserve policy misstep as catalysts for continued market disruption. With markets swinging between euphoria and despair, Dean calls for caution and reveals how his quantitative fixed income strategy — FIXP — is navigating turbulent conditions.
Other highlights include:
~ The untold story behind U.S.–EU trade dynamics
~ Why tariffs and inflation may soon strike Main Street
~ The strategic value of mortgage-backed securities in a volatile market
~ A forecast on Jerome Powell’s future and its economic implications
Whether you're a retail investor or institutional player, this episode is a must-watch for anyone trying to make sense of this unpredictable market.
📈 Subscribe to the CrossCheck Media channel on YouTube to stay updated on future episodes and exclusive market insights.
#BuyHoldSell #DeanSmith #FolioBeyond #MarketVolatility #Stagflation #Recession2025 #FIXP #QuantInvesting #FedWatch #InflationRisk #USChinaTrade #JeromePowell #InvestmentStrategy #WallStreetInsights #FixedIncome #BondMarket #Macroeconomics #SmartInvesting #CrossCheckMedia #PortfolioManagement #TobinSmith #BTT #BizTalkTodayTV #ToddSchoenberger #ToddMSchoenberger
Learn more about your ad choices. Visit megaphone.fm/adchoices
In this Buy Hold Sell Special Report, Wall Street veterans Todd M. Schoenberger and Tobin Smith sit down with Dean Smith, Chief Strategist and Portfolio Manager at FolioBeyond, for a high-stakes conversation on the rising risks of stagflation, market volatility, and the global economic outlook.
Dean shares his bearish perspective on the U.S. economy, citing persistent inflation, unresolved U.S.-China trade tensions, and a Federal Reserve policy misstep as catalysts for continued market disruption. With markets swinging between euphoria and despair, Dean calls for caution and reveals how his quantitative fixed income strategy — FIXP — is navigating turbulent conditions.
Other highlights include:
~ The untold story behind U.S.–EU trade dynamics
~ Why tariffs and inflation may soon strike Main Street
~ The strategic value of mortgage-backed securities in a volatile market
~ A forecast on Jerome Powell’s future and its economic implications
Whether you're a retail investor or institutional player, this episode is a must-watch for anyone trying to make sense of this unpredictable market.
📈 Subscribe to the CrossCheck Media channel on YouTube to stay updated on future episodes and exclusive market insights.
#BuyHoldSell #DeanSmith #FolioBeyond #MarketVolatility #Stagflation #Recession2025 #FIXP #QuantInvesting #FedWatch #InflationRisk #USChinaTrade #JeromePowell #InvestmentStrategy #WallStreetInsights #FixedIncome #BondMarket #Macroeconomics #SmartInvesting #CrossCheckMedia #PortfolioManagement #TobinSmith #BTT #BizTalkTodayTV #ToddSchoenberger #ToddMSchoenberger
Learn more about your ad choices. Visit megaphone.fm/adchoices