Videos & Podcasts

Investment Wisdom Podcast – Day 3 of 12

By understanding how each asset-class behaves throughout the four economic regimes, investors will not need to rely on predictions to thrive in most market environment. Welcome to Day 3.

Investment Wisdom Podcast – Day 2 of 12

In episode one we described an investment arena that is likely to provide the best long-term opportunities.

Mid-Stream Energy Infrastructure Outlook Looks Bright

Learn why improving sector fundamentals, including rising free cash flow and declining volatility should draw buyers over the next few years.

Mid-Stream Energy Infrastructure Outlook Looks Bright

Learn why improving sector fundamentals, including rising free cash flow and declining volatility should draw buyers over the next few years.

A Podcast on stock screening techniques and recent consumer trends

Brand guru Eric Clark did a recent podcast on Investing City where he talks about identifying great stocks as well as recent consumer trends.

Investment Wisdom Podcast: Day 1

On the first day of this series, we answer a pivotal question that every investor should ask themselves before embarking on their investment journey:...

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David Miller on CNBC’s Market Navigator: Will Overheating Hurt Nvidia?

Will Mag 7 stock Nvidia beat estimates? David Miller, Co-Founder and Chief Investment Officer of Catalyst Funds, Rational Funds, and Strategy Shares, provided his insights to CNBC on Nov. 19 on why he believes the company will come out ahead this week despite potentially challenging headlines.

Chart of the Week: is the Stock Market Getting Ahead of Itself?

In October, Goldman Sachs strategists cautioned investors to be prepared for stock market returns during the next decade that are toward the lower end of their typical performance distribution.

What’s the Real Value of Active Management?

In my opinion, true active strategies have a very important role in portfolios as complements to passive, cheap beta. Advisors need to understand what they own.

Election Trepidation: October 2024 HANDLS Monthly Report

October was marked by continued volatility across fixed income and equity markets as investors faced various challenges, including persistent inflation concerns, rising yields, tightening monetary policy, and the backdrop of a U.S. Presidential election.

The Election Results Are In. The Market Likes the Results.

As an investor, it’s nice to know what we should expect from President Trump, because we have seen the movie before in 2017 – 2021. Apart from the early part of the Pandemic period, the economy and stock markets generally performed well.