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In this week's episode, Todd discusses how the canceling of the Keystone Pipeline could impact energy prices, why it is critical to pay attention to the COVID-19 mutations taking place in Europe, and why inflation could become a problem.
In this week's episode, Todd discusses why it is important to closely monitor bond yields, how the markets are reacting to the tumultuous week at the Capitol, and a closer look at the possibility of a reflation theme overshoot.
In this week's episode, Todd discusses Tesla's S&P 500 inclusion, what Bitcoin's all-time high means for investors, and how the recently announced $900B stimulus package can help the economy in Q1 2021.
In this week's episode, Todd discusses what is happening with the small-cap sector, a few items worth monitoring that might signal market recovery, and a major US insurance company makes a large crypto investment.
In this week's episode, Todd discusses some of the possible drivers to the all-time highs in the US market and what the high yield bond market might be telling us.
In this week's episode, Todd discusses why small-cap leadership is a strong indicator of a rally, the continued attention for cryptocurrency, and the two things that could provide a challenging market this winter.
In this week's episode, Todd discusses why US stocks are down while international is up, what an additional COVID-19 vaccine means and some staggering housing sector stats.
In this week's episode, Todd discusses why there was a brief change in interest rates after Biden was announced as President-elect, timing the rotation from growth to value stocks, and when fixed income portfolios need to consider moving towards more high-quality assets.
In this week's episode, Todd discusses the catalyst for the rise of US and International markets, the economy’s reaction to the possibility of a Republican-controlled Senate, and what is happening to home prices in the suburbs.
In this week's episode, Todd discusses the market's reaction to Dr. Fauci's prediction on when we might return to normal, the importance of exceeding expectations from recent earnings reports, and how the market is preparing ahead of Tuesday's election.
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