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In this week's episode, Todd discusses the stock market as we near the election, the status of bond yields, and what PayPal's announcement means for cryptocurrency within corporate America.
In this week's episode, Todd talks about the resilience of the US consumer, the continuing surprise of inflation, and what potential capital gains changes could mean for the market in the near future.
This week, Todd discusses the continuing volatility of the equity markets, the probability of a new stimulus deal, and what a contested election could mean for the stock market.
This week, Todd discusses the strong end of the third quarter, how growth companies are benefiting from low, stable interest rates and what a SPAC is and why you should take note.
This week, Todd discusses the possible culprit for the fall of international markets, the strength of the housing market, and the potential base building for higher spreads from high yield bonds.
This week, Todd discusses the third straight week of lower US markets, the two reasons why negative returns are likely happening, and what the Federal Reserve's flat-rate decision means for the coming years.
This week, Todd digs into the shifting US and international markets, what higher than expected inflation rates could mean, and why a market legend says you should keep cash on hand.
This week, Todd focuses on the international and US stock markets, Apple and Tesla announcing a 5:1 stock split, and Warren Buffett's shift with international equities and gold.
This week, Todd focuses on the recent rise in the equity market, the impact of the FED moving to average inflation rating, and what to watch from the fixed income markets this week.
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All of the market information you need in 120 seconds or less.