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In this week's episode, Todd provides an update on the market, explains the potential correlation between bond yields and COVID in Europe, and analyzes the recent trend in company break-ups.
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In this week's episode, Todd provides an update on the market, discusses the potential downsides of high consumer prices continuing, and analyzes the modest infrastructure package approved by the US House last week.
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In this week's episode, Todd provides an update on the market, emphasizes the importance of small caps pushing higher, and explains how bond price movements are becoming more sensitive to changes in interest rates.
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In this week's episode, Todd provides an update on the market, highlights the dramatic increase in earnings for Q3 2021, and emphasizes the significance of European interest rates on the verge of breaking positive.
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In this week's episode, Todd provides an update on the market, reviews the strong earning reports, and explains why investors should think twice about purchasing Bitcoin's first ETF.
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In this week's episode, Todd provides an update on the market, discusses the potential for a 1970s style stagflation, and highlights the importance of the SEC approving the first futures-based ETF for Bitcoin.
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In this week's episode, Todd provides an update on the market, dives into the weaker-than-expected jobs report, and analyzes the potential impact of declining COVID infections on the market.
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In this week's episode, Todd provides an update on the market, explains what's causing the staggering increase in natural gas prices, and analyzes the uptrend of merger and acquisition volumes.
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In this week's episode, Todd provides an update on the market, reviews the impact of China's Evergrande Crisis, and provides insights from last week's Federal Reserve press releases.
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In this week's episode, Todd provides an update on the market, discusses how long key economic data can continue to keep up with consensus, and dissects why Chinese markets remain uninvestable.
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