
Sign up to save your podcasts
Or


Jon Maier is the chief ETF strategist at JPMorgan Asset Management. He joins Phil Rosen on Full Signal to discuss the sea change underway in ETF flows, why active management is set up to outperform passive for the first time in years, how the Iran conflict is reshaping the macro outlook and what investors should actually do with their portfolios right now.
This episode is sponsored by Public: https://public.com/openingbell
Subscribe to Opening Bell Daily: https://www.openingbelldailynews.com/subscribe
Follow Phil on X: https://x.com/philrosenn
Follow Phil on LinkedIn: https://www.linkedin.com/in/philrosen/
Timestamps:
0:00 - Intro
0:20 - Iran conflict macro implications
1:20 - 66% of S&P stocks beating the index
3:10 - Breaking down $14T ETF market
6:00 - More ETFs than stocks
6:45 - Derivative income ETFs
8:20 - International vs. US rotation
12:05 - Bear sentiment and hedging strategies
14:30 - Rotation out of tech
15:40 - Should you go to cash right now?
18:20 - Active vs. passive long view
21:20 - How pullback compares to history
23:10 - JPMorgan Guide to ETFs
Disclosure: Brokerage services provided by Open to the Public Investing Inc, member FINRA & SIPC. Investing involves risk. Generated Assets is an interactive analysis tool by Public Advisors. Output is for informational purposes only and is not an investment recommendation or advice. See disclosures at public.com/disclosures/ga. See terms of Match Program at https://public.com/disclosures/matchprogram Matched funds must remain in your account for at least 5 years. Match rate and other terms are subject to change at any time.
#podcast #investing #markets #macro #stocks #bitcoin #fed
Jannick Malling is the co-founder and co-CEO of Public, one of the largest retail investing platforms in the world. He joins Phil Rosen to discuss retail investor sentiment, why buying the dip keeps working, the AI bubble debate, and why Public just launched AI agents inside investor portfolios and what that means for the future of trading.
This episode is sponsored by Public: https://public.com/openingbell
Subscribe to Opening Bell Daily: https://www.openingbelldailynews.com/subscribe
Follow Phil on X: https://x.com/philrosenn
Follow Phil on LinkedIn: https://www.linkedin.com/in/philrosen/
Timestamps:
0:00 - Intro
0:25 - Retail investor sentiment
3:55 - Why buying the dip keeps working
5:10 - The AI bubble debate
8:00 - Retail's edge on Wall Street
8:25 - AI agents in portfolios
11:10 - Security concerns with AI agents
13:45 - Taking emotion out of investing
16:35 - Sophisticated trading strategies
19:35 - Will agents push back on bad trades?
22:40 - "Agentic brokerage" era
27:50 - Joining Public's wait list
Disclosure: Brokerage services provided by Open to the Public Investing Inc, member FINRA & SIPC. Investing involves risk. Generated Assets is an interactive analysis tool by Public Advisors. Output is for informational purposes only and is not an investment recommendation or advice. See disclosures at public.com/disclosures/ga. See terms of Match Program at https://public.com/disclosures/matchprogram Matched funds must remain in your account for at least 5 years. Match rate and other terms are subject to change at any time.
#podcast #investing #markets #macro #stocks #bitcoin #fed
Tom Hulick is the CEO of Strategy Asset Managers. He joins Phil Rosen to discuss the earnings outlook and macro impact of the Iran war, the specific sectors and stock picks he is most bullish on, and why geopolitical noise hasn't shaken his long-term thesis.
This episode is sponsored by Public: https://public.com/openingbell
Subscribe to Opening Bell Daily: https://www.openingbelldailynews.com/subscribe
Follow Phil on X: https://x.com/philrosenn
Follow Phil on LinkedIn: https://www.linkedin.com/in/philrosen/
Timestamps:
0:00 - Intro
0:20 - Geopolitical backdrop
3:35 - The next bull market
5:30 - Market resilience
7:50 - Oil spike and stocks
9:35 - Oil, inflation, and the Fed
11:30 - Rate hike or rate cut?
14:00 - $8 trillion cash on the sidelines
15:50 - Why Wall Street targets were modest
18:10 - Biotech sector
20:35 - Eli Lilly
26:45 - Intuitive Surgical (ISRG)
32:05 - Bear case for 2026
35:00 - Follow Tom's work
Disclosure: Brokerage services provided by Open to the Public Investing Inc, member FINRA & SIPC. Investing involves risk. Generated Assets is an interactive analysis tool by Public Advisors. Output is for informational purposes only and is not an investment recommendation or advice. See disclosures at public.com/disclosures/ga. See terms of Match Program at https://public.com/disclosures/matchprogram Matched funds must remain in your account for at least 5 years. Match rate and other terms are subject to change at any time.
#podcast #investing #markets #macro #stocks #bitcoin #fed
Sam Callahan is the director of research and strategy at OranjeBTC, one of the largest bitcoin treasury companies in the world. He joins Phil Rosen to discuss bitcoin's rally and the geopolitical turmoil, the divergence of bitcoin and gold, the macro tailwinds for hard assets, and more.
This episode is sponsored by Public: https://public.com/openingbell
Subscribe to Opening Bell Daily: https://www.openingbelldailynews.com/subscribe
Follow Phil on X: https://x.com/philrosenn
Follow Phil on LinkedIn: https://www.linkedin.com/in/philrosen/
Timestamps:
0:00 - Intro
0:20 — Bitcoin's divergence from other assets
4:00 — Bitcoin vs. gold
6:10 — The Fed's dilemma
9:30 — Yield curve control and rates
11:25 — Bitcoin as two different assets
13:05 — Public & Generated Assets
14:10 — Bitcoin treasury companies
17:30 — Can treasury companies recover without $BTC?
18:35 — OranjeBTC
21:00 — Follow Sam
Disclosure: Brokerage services provided by Open to the Public Investing Inc, member FINRA & SIPC. Investing involves risk. Generated Assets is an interactive analysis tool by Public Advisors. Output is for informational purposes only and is not an investment recommendation or advice. See disclosures at public.com/disclosures/ga. See terms of Match Program at https://public.com/disclosures/matchprogram Matched funds must remain in your account for at least 5 years. Match rate and other terms are subject to change at any time.
#podcast #investing #markets #macro #stocks #bitcoin #fed
Jeff Park is a veteran macro investor and CIO at ProCap Financial. He joins Phil Rosen on Full Signal to walk through three forces reshaping asset markets: accelerating demographic decline, widening wealth inequality, and AI's labor-destructive impact on the economy.
This episode is sponsored by Public: https://public.com/openingbell
Subscribe to Opening Bell Daily: https://www.openingbelldailynews.com/subscribe
Follow Phil on X: https://x.com/philrosenn
Follow Phil on LinkedIn: https://www.linkedin.com/in/philrosen/
Timestamps:
0:00 - Intro
0:25 - Jeff's viral essay
1:55 - 3 macro certainties
2:50 - Demographic headwinds
5:55 - Coming liquidity event
7:40 - Wealth vs. income inequality
13:45 - Generational wealth transfer
16:10- AI is labor destructive
18:45 - Mispriced education trap
20:25 - What makes Jeff optimistic
21:00 - US demographics edge
24:30 - Universal basic income
25:45 - Trump Accounts as soft UBI
26:50 - Reimagining private-public partnerships
28:40 - How to play the 3 mega trends
30:25 - Radical portfolio theory
32:15 - How to invest for the future
34:25 - Follow Jeff's work
Disclosure: Brokerage services provided by Open to the Public Investing Inc, member FINRA & SIPC. Investing involves risk. Generated Assets is an interactive analysis tool by Public Advisors. Output is for informational purposes only and is not an investment recommendation or advice. See disclosures at public.com/disclosures/ga. See terms of Match Program at https://public.com/disclosures/matchprogram Matched funds must remain in your account for at least 5 years. Match rate and other terms are subject to change at any time.
#podcast #investing #markets #macro #stocks #bitcoin #fed
Robinhood's chief investment officer Stephanie Guild joins Phil Rosen on Full Signal to unpack the exact framework behind the $1.5 billion Robinhood Strategies portfolio, including the specific stocks she's buying right now, why she moved off the Magnificent 7 over a year ago, and the two biggest risks threatening markets in 2026.
This episode is sponsored by Public: https://public.com/openingbell
Subscribe to Opening Bell Daily: https://www.openingbelldailynews.com/subscribe
Follow Phil on X: https://x.com/philrosenn
Follow Phil on LinkedIn: https://www.linkedin.com/in/philrosen/
Timestamps:
0:00 - Intro
0:25 – Robinhood's investment thesis
2:55 – Compelling stock picks
5:25 – Robinhood Strategies' strategy
9:50 – The rise of retail investors
12:00 – What Robinhood users are actually buying
15:05 – Robinhood Strategies vs. index funds
16:05 – Calling Mag 7 rotation early
20:20 – Under-the-radar opportunities
22:40 – S&P 500 target of 7,500
29:20 – 2 biggest market risks
32:30– How to hedge as a retail investor
34:25 – What's next for Robinhood
Disclosure: Brokerage services provided by Open to the Public Investing Inc, member FINRA & SIPC. Investing involves risk. Generated Assets is an interactive analysis tool by Public Advisors. Output is for informational purposes only and is not an investment recommendation or advice. See disclosures at public.com/disclosures/ga. See terms of Match Program at https://public.com/disclosures/matchprogram Matched funds must remain in your account for at least 5 years. Match rate and other terms are subject to change at any time.
#podcast #investing #markets #macro #stocks #bitcoin #fed
Bob Elliott is the co-founder and CIO of Unlimited Funds. He joins Phil Rosen to discuss the macro outlook and oil shock, the Fed's dilemma, portfolio positioning for 2026, and lessons from working next to Ray Dalio.
This episode is sponsored by Public: https://public.com/openingbell
Subscribe to Opening Bell Daily: https://www.openingbelldailynews.com/subscribe
Follow Phil on X: https://x.com/philrosenn
Follow Phil on LinkedIn: https://www.linkedin.com/in/philrosen/
Timestamps:
0:00 - Intro
0:30 - The current economic shift
1:25 - Impact of oil shock
3:45 - The Fed's impossible situation
5:25 - Labor market weakness
7:15 - Fed nominee Kevin Warsh
10:15 - Why stocks haven't sold off
13:15 - Oil shock amnesia gripping markets
15:10 - Commodities, risk reduction, rebalancing
17:10 - Long-term positioning
19:45 - Gold and bitcoin
23:45 - What investors are getting wrong today
26:25 - Pain comes before policy
29:20 - Lessons from Ray Dalio
32:00 - The 55/45 rule
35:10 - Putting hedge fund strategies in an ETF
37:35 - HFGM
39:10- Follow Bob Elliott
Disclosure: Brokerage services provided by Open to the Public Investing Inc, member FINRA & SIPC. Investing involves risk. Generated Assets is an interactive analysis tool by Public Advisors. Output is for informational purposes only and is not an investment recommendation or advice. See disclosures at public.com/disclosures/ga. See terms of Match Program at https://public.com/disclosures/matchprogram Matched funds must remain in your account for at least 5 years. Match rate and other terms are subject to change at any time.
#podcast #investing #markets #macro #stocks #bitcoin #fed
Veteran journalist and commentator JD Durkin, host of Taking Stock at the New York Stock Exchange, joins Phil Rosen on Full Signal to break down why markets keep shaking off bad news, the rotation out of Mag 7, and the risks that could derail the bull run.
This episode is sponsored by Public: https://public.com/openingbell
Subscribe to Opening Bell Daily: https://www.openingbelldailynews.com/subscribe
Follow Phil on X: https://x.com/philrosenn
Follow Phil on LinkedIn: https://www.linkedin.com/in/philrosen/
Timestamps:
0:00 - Intro
0:28 - Markets During Iran Conflict
2:55 - Market Rotation
6:15 - Trump Era Policy Risks
11:01 - AI Trade, Software Selloff
16:37 - The 'Halo' Stock Theory
19:05 - Dollar Discounters Signal Stress
21:38 - Main Street vs Wall Street
23:54 - $200 Dollar Oil?
25:49- Where to Follow JD
26:27 - Thanks JF For Joining The Show!
Disclosure: Brokerage services provided by Open to the Public Investing Inc, member FINRA & SIPC. Investing involves risk. Generated Assets is an interactive analysis tool by Public Advisors. Output is for informational purposes only and is not an investment recommendation or advice. See disclosures at public.com/disclosures/ga. See terms of Match Program at https://public.com/disclosures/matchprogram Matched funds must remain in your account for at least 5 years. Match rate and other terms are subject to change at any time.
#podcast #investing #markets #macro #stocks #bitcoin #fed
Anthony Pompliano is the CEO of ProCap Financial. He joins Phil Rosen on Full Signal to discuss bitcoin’s weak price action, the slowing labor market and geopolitical risks, the Fed’s policy errors, and how AI will change the macro and investment landscape.
This episode is sponsored by Public: https://public.com/openingbell
Subscribe to Opening Bell Daily: https://www.openingbelldailynews.com/subscribe
Follow Phil on X: https://x.com/philrosenn
Follow Phil on LinkedIn: https://www.linkedin.com/in/philrosen/
Timestamps:
0:00 - Intro
0:24 - Bitcoin vs Gold
3:40 - Jobs Data and AI Impact
6:07 - Deflation & Why The Fed Needs To Cut Rates
10:30 - Oil Prices vs Deflation Forces
14:45 - Why Consensus Gets It Wrong
20:07 - AI Skills to Get Hired If You're Looking For Work
23:27 - Thanks Pomp For Joining!
Disclosure: Brokerage services provided by Open to the Public Investing Inc, member FINRA & SIPC. Investing involves risk. Generated Assets is an interactive analysis tool by Public Advisors. Output is for informational purposes only and is not an investment recommendation or advice. See disclosures at public.com/disclosures/ga. See terms of Match Program at https://public.com/disclosures/matchprogram Matched funds must remain in your account for at least 5 years. Match rate and other terms are subject to change at any time.
#podcast #investing #markets #macro #stocks #bitcoin #fed
Luke Kawa is a veteran financial writer and analyst, and the markets editor at Sherwood Media. He joins Phil Rosen to unpack the market rotation out of Big Tech, weak Magnificent 7 cash flows, the risks of hyperscaler spending, and how AI is showing up in the rates market.
This episode is sponsored by Public: https://public.com/openingbell
Subscribe to Opening Bell Daily: https://www.openingbelldailynews.com/subscribe
Follow Phil on X: https://x.com/philrosenn
Follow Phil on LinkedIn: https://www.linkedin.com/in/philrosen/
Timestamps:
0:00 - Intro
00:39 - The Market Is Stalling and Searching For Safety
02:34 - Mag 7 Cash Flow Slide
04:57 - Nvidia's ROI Reality Check
06:56 - Change In Valuations
09:43 - AI Bubble or AI Breakthrough?
13:13 - AI Disruption Hits The Rates Market
16:12 - Private Credit Under Pressure
18:33 - The Stock Market Is the Economy
24:09 - Optimistic Outlook?
28:22 - Where to Follow Luke
Disclosure: Brokerage services provided by Open to the Public Investing Inc, member FINRA & SIPC. Investing involves risk. Generated Assets is an interactive analysis tool by Public Advisors. Output is for informational purposes only and is not an investment recommendation or advice. See disclosures at public.com/disclosures/ga. See terms of Match Program at https://public.com/disclosures/matchprogram Matched funds must remain in your account for at least 5 years. Match rate and other terms are subject to change at any time.
#podcast #investing #markets #macro #stocks #bitcoin #fed
From the publisher's feed