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Interview recorded - 06/10/2022
On todays episode of the WTFinance podcast I had the pleasure of speaking with David Hunter, a contrarian macro strategist with 49 years of experience on Wall Street.
During our interview we spoke about David's overview of the market, why the market has bottomed, whether the S&P could hit 6,000 in 12 months and how all the market will then crash afterwards. I hope you enjoy!
0:00 - Introductions
1:25 - David’s overview of the market
4:20 - Would a catalyst make David bearish?
6:45 - The FED will not be the bullish story
15:00 - Potential short squeeze
17:15 - What will be the turning point for the top?
19:35 - What will the secular shift be?
26:12 - Challenge when bonds pay 6% return
29:00 - What level will the S&P be?
32:00 - Could the US and other governments ban the ownership of precious metals?
35:00 - One message to takeaway from our conversation?
Investment professional with 25 years of investment management experience and 20 years as a sell-side strategist with strong expertise in macroeconomic analysis and portfolio management. My strong macro capabilities combined with a contrarian philosophy have allowed me to forecast economic cycles and spot market trends well ahead of the consensus. Intellectually honest, independent thinker comfortable with charting a course apart from the crowd. Accomplished stock picker and value-oriented portfolio manager.
David Hunter -
Twitter - https://twitter.com/DaveHcontrarian
LinkedIn - https://www.linkedin.com/in/david-hunter-668ba015/
WTFinance -
Spotify - https://open.spotify.com/show/67rpmjG92PNBW0doLyPvfn
iTunes -https://podcasts.apple.com/us/podcast/wtfinance/id1554934665?uo=4
Linkedin - https://www.linkedin.com/in/anthony-fatseas-761066103/
Twitter - https://twitter.com/AnthonyFatseas
Thumbnail from - https://coingape.com/web-stories/the-opposite-of-a-bear-is-bull-market/
4.7
1717 ratings
Interview recorded - 06/10/2022
On todays episode of the WTFinance podcast I had the pleasure of speaking with David Hunter, a contrarian macro strategist with 49 years of experience on Wall Street.
During our interview we spoke about David's overview of the market, why the market has bottomed, whether the S&P could hit 6,000 in 12 months and how all the market will then crash afterwards. I hope you enjoy!
0:00 - Introductions
1:25 - David’s overview of the market
4:20 - Would a catalyst make David bearish?
6:45 - The FED will not be the bullish story
15:00 - Potential short squeeze
17:15 - What will be the turning point for the top?
19:35 - What will the secular shift be?
26:12 - Challenge when bonds pay 6% return
29:00 - What level will the S&P be?
32:00 - Could the US and other governments ban the ownership of precious metals?
35:00 - One message to takeaway from our conversation?
Investment professional with 25 years of investment management experience and 20 years as a sell-side strategist with strong expertise in macroeconomic analysis and portfolio management. My strong macro capabilities combined with a contrarian philosophy have allowed me to forecast economic cycles and spot market trends well ahead of the consensus. Intellectually honest, independent thinker comfortable with charting a course apart from the crowd. Accomplished stock picker and value-oriented portfolio manager.
David Hunter -
Twitter - https://twitter.com/DaveHcontrarian
LinkedIn - https://www.linkedin.com/in/david-hunter-668ba015/
WTFinance -
Spotify - https://open.spotify.com/show/67rpmjG92PNBW0doLyPvfn
iTunes -https://podcasts.apple.com/us/podcast/wtfinance/id1554934665?uo=4
Linkedin - https://www.linkedin.com/in/anthony-fatseas-761066103/
Twitter - https://twitter.com/AnthonyFatseas
Thumbnail from - https://coingape.com/web-stories/the-opposite-of-a-bear-is-bull-market/
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