
Sign up to save your podcasts
Or


In this week's episode, David and Ian discuss investor sentiment, stealth corrections, Crude Oil doing its own thing, and the behavioral fallacies around stubbornness in trading. Dave covers High Beta and Low Volatility stocks. Ian discusses what messages we are getting from a grouping of “risk off” assets. Both give their thoughts on why today’s environment is similar, but also different, from early 2020.
By David Zarling, Ian McMillan4.9
7373 ratings
In this week's episode, David and Ian discuss investor sentiment, stealth corrections, Crude Oil doing its own thing, and the behavioral fallacies around stubbornness in trading. Dave covers High Beta and Low Volatility stocks. Ian discusses what messages we are getting from a grouping of “risk off” assets. Both give their thoughts on why today’s environment is similar, but also different, from early 2020.

3,070 Listeners

588 Listeners

942 Listeners

103 Listeners

81 Listeners

358 Listeners

299 Listeners

84 Listeners

809 Listeners

167 Listeners

277 Listeners

216 Listeners

46 Listeners

25 Listeners

155 Listeners