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In this week's episode, Todd provides an update on the market, discusses the top seven performing S&P 500 stocks, and analyzes whether real estate investment trusts (REITs) are potentially bottoming or if brighter days could be ahead.
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In this week's episode, Todd provides an update on the market and reacts to the prediction of where the Federal Funds rate will be at year-end.
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In this week's episode, Todd provides an update on the market, analyzes what the last debt ceiling experience could potentially tell us about this time, and explains why we believe high yield bonds have been too quiet.
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In this week's episode, Todd provides an update on the market, analyzes the potential impact of elevated inflation on the technology sector, and discusses how the continued strength in the labor market has impacted the Fed's interest rate policy.
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In this week's episode, Todd provides an update on the market, analyzes the better-than-expected earnings reports, and discusses why the concentration of gains could be concerning.
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In this week's episode, Todd provides an update on the market, discusses money market assets reaching an all-time high, and analyzes the ongoing US debt ceiling debate.
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In this week's episode, Todd provides an update on the market, analyzes whether equity markets could go further up, and shares his thoughts on gold as a possible diversifier in portfolios.
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In this week's episode, Todd provides an update on the market, analyzes whether the falling US dollar will be a problem for portfolios, and discusses a contraction in European bank lending.
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In this week's episode, Todd provides an update on the market, discusses the energy market potentially making a comeback, and analyzes the possible impact of commercial real estate values declining.
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In this week's episode, Todd provides an update on the market, analyzes the bank failures by year since 1980, and discusses potential impacts of bank stress.
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