
What’s News in Markets: Campbell’s Snack Problem, Centene Sinks, Petco Optimism
The episode reviews how volatile oil prices, driven by escalating tensions in the Strait of Hormuz and a massive strategic reserve release, pushed major U.S. indexes lower despite a brief inflation lull. Campbell Soup’s disappointing snack sales and Centene’s Medicaid rate pressures led to steep stock declines, highlighting challenges in consumer staples and health care amid geopolitical risk. In contrast, Petco’s turnaround plan and focus on affordable private‑label pet food sparked a 52% rally, showing that targeted cost cuts and consumer‑trend alignment can still reward investors.
Episode 418 Option Trading Podcast March 13, 2026
In Episode 418 of The Weekly Option, host Eric reviews last week’s option trades on UiPath, Redcat Holdings, the US Oil ETF, and Occidental Petroleum, noting mostly profitable outcomes and minimal adjustments needed. He then introduces four new trades for...

Is Stagflation Creeping Into the Picture?
In this episode of Motley Fool Money, hosts Travis Hoyam, Jason Moser, and Lou Whiteman dissect the risk of stagflation in 2026, highlighting the recent dip in Q4 GDP growth to 0.7% and persistent inflation above 3%. They explore how...
Banks May Be Shut but Amazon Delivers
The episode examines how the Middle East war is reshaping capital markets, highlighting a shift in euro‑denominated bond issuance: banks have paused their euro funding while corporate issuers, notably Amazon, are stepping in with record‑breaking deals. Amazon raised €14.5 billion across...
How ISA Millionaires Are Investing Their Money
In this episode of the AJ Bell Money and Markets podcast, Charlene Young and guests discuss recent market turbulence driven by Middle East conflict and volatile oil prices, as well as sector updates on UK house builders like Persimmon and...

EM Lens: War-Induced Oil Shocks Aren’t Kind to EM Economies
In this episode, Gustavo Medeiros of Ashmore Group and Bloomberg Intelligence’s Damian Sassower examine how the war‑induced oil shock is pressuring emerging market (EM) economies with rising energy costs, stagflation risks, and declining asset prices. They discuss the extraordinary policy...

The Tax Alpha Arms Race (W/ Wes Gray & Brent Sullivan) | #622
In this episode, hosts MedFaber, Wes Gray, and tax analyst Brent Sullivan dissect the growing "tax alpha" landscape, focusing on how investors can manage and mitigate tax drag, especially with concentrated stock positions. They explore a menu of strategies—from exchange...
Stocks at 3-Month Lows Awaiting PCE, Job Openings
The Schwab Market Update highlighted that U.S. equities slipped to three‑month lows ahead of key economic data, notably the January PCE price index and the JOLTS report, which will shape expectations for the Fed’s upcoming meeting. Rising crude oil prices,...
PIMCO Prime's Trausch on Seizing Real Estate Credit Opportunities in 2026
In this episode, Francois Trouch, CEO and CIO of PIMCO Prime Real Estate, explains why real estate credit is a top investment theme for 2026, highlighting its attractive risk‑adjusted returns versus corporate debt and equity. He details the five segments...

Money and Me: Is Headline DPU Hiding the Truth About Your REIT?
In this episode, Michelle Martin talks with REIT specialist Kenny Lowe about why investors should look beyond the headline Distribution Per Unit (DPU) when evaluating Singapore REITs. Kenny explains how one‑off bonuses, sponsor rental support, lease incentives and financial engineering...

Iran War Oil Crunch Plunges World Into Crisis - New World Next Week
In this episode of New World Next Week, James Corbett and James Evan Palato dissect the escalating oil crisis triggered by the U.S.-Iran conflict, highlighting how the Strait of Hormuz closure has forced Asian nations like Pakistan, Bangladesh, and others...

384. Volatility Returns: Oil Shock, Two Market Risks, Student Housing Exposure, Savills-Eastdil Deal, & More Impactful Headlines
The episode examines how a sudden oil price shock from Middle East tensions is reigniting dual risks in commercial real estate: sticky inflation and slowing growth. Stephen Bushbaum explains that this volatility is likely to tighten financing conditions, widen credit...

Macro Matters: Yield-Curve Scenarios with BNY’s Granet
In this episode, BNY Mellon CIO Jason Granet discusses the current and future shape of the U.S. Treasury yield curve, arguing that recent flattening is a temporary, cyclical retracement and that a steeper curve is likely to resume. He and...
BlackRock's Jacobs: Current Events Aren't Disrupting Long-Term Investing Themes
In this Money Life episode, host Chuck Jaffe talks with three experts—Jay Jacobs of BlackRock, Todd Rosenbluth of Vetify, and retirement scholar Wade Pfau—about how long‑term investment themes remain intact despite heightened geopolitical fragmentation and market volatility. Jacobs stresses that while current...

Alexander Roepers on Constructive Activism and Concentrated Value in $KEX, $AXTA, and $FLS | S08 E09
In this episode, Alexander Ropers, founder and CIO of Atlantic, explains his firm’s disciplined, concentrated value strategy that targets mid‑cap industrial, product and service companies (US$2‑20 billion) while avoiding high‑tech, biotech, and opaque financial sectors. He emphasizes the importance of margin...

PETER LEWIS' MONEY TALK - Thursday 12 March 2026
In this episode of Peter Lewis' Money Talk, host Peter Lewis talks with Andrew Freris, CEO of Ecognosis Advisory, and Nick Marro, Principal Economist for Asia at the Economist Intelligence Unit about the recent fuel subsidy crisis in Vietnam and...
Value Manager Smead: 'This Is One of the Most Overvalued Markets in U.S. History'
The episode examines the current overvaluation of the U.S. stock market, with value manager Bill Smead warning that metrics like the CAPE ratio and Buffett’s indicator place it in the 95th‑100th percentile of historical valuations. Smead explains his disciplined, low‑risk...
Liquidity, Risk, and Real Estate’s Comeback with Dennis Mitchell, CEO & CIO at Starlight Capital
In this episode, hosts Aaron Cameron and Adam Pawlik sit down with Dennis Mitchell, CEO and CIO of Starlight Capital, to discuss the current state of commercial real estate, liquidity challenges, and the sector’s resurgence. Mitchell explains how real‑estate earnings...

'Largest Ever' Oil Reserve Release Agreed by 32 Countries
The episode explains that 32 IEA member countries have agreed to release a record 400 million barrels of emergency oil reserves—the largest ever—to curb soaring energy prices amid the US‑Israel conflict in Iran. IEA Executive Director Faith Beryl notes this release is...

Credit Crunch: Iran War, Software Rout and Credit a Safe Haven
In this episode of Credit Crunch, Mahesh Bhimalingam and guest Sarah Harrison discuss the impact of the Iran war and recent software sector volatility on global credit markets. They note that despite geopolitical tensions, credit spreads have remained relatively resilient,...

Inflation, Iran and the Industrial Accelerator Act
In this episode of the Sound of Economics, former Dutch central bank governor Klaas Knopp and Bruegel director Jeremy Zentelmeier assess Europe’s economic outlook amid the new Israel‑Iran conflict, highlighting the region’s surprising resilience but warning of a negative supply shock from...

IEA Proposes Record Release of Oil Reserves
The episode focuses on the International Energy Agency's proposal to release a record 400 million barrels of oil from member countries' strategic reserves to counter a sharp price surge caused by the near‑closure of the Strait of Hormuz after Iranian attacks....

03.11.26 Retirees Returning to Work / Medical Privacy Warning
In this episode Clark Howard discusses two major topics: the financial pitfalls that lead many retirees to return to work, and the privacy risks associated with independent medical testing services. He highlights how inadequate retirement planning, gaps in health coverage...
March WASDE Leaves Grain Markets Searching for Direction
In this episode, Jim McCormick of agmarket.net breaks down the March USDA WASDE report, noting that wheat and corn numbers were largely unchanged while soybean imports and crush demand were modestly increased. He explains how the lackluster report has nudged...

Healthcare Before Medicare: Retiree Feedback
In this episode, host Roger Whitney shares real‑world retiree feedback on navigating health‑care before Medicare, highlighting strategies such as timing the COBRA‑to‑ACA transition to preserve deductibles, leveraging part‑time city jobs or student enrollment for affordable coverage, and uncovering employer‑sponsored extensions...
Will Curtis: Bridging the Military-to-CRE Gap One Veteran at a Time
In this episode, veteran‑turned‑CRE professional Will Curtis shares how his Army experience and a pivotal financial‑specialist presentation sparked his transition into commercial real estate, leading him to specialize in office and industrial assets across Texas. He emphasizes the importance of...
Retirement Planning With a Defined Benefit Pension: EDU #2610
In this episode, Chris Stein and Jake discuss how to incorporate a defined benefit pension into retirement planning, using a listener’s scenario of a law‑enforcement employee with a non‑covered pension and a spouse’s Roth 401(k) contributions. They explain that the...

Exciting (But Crowded) Opportunities
In this episode, Tyler Crowe, Matt Frankel, and Lou Whiteman discuss how once‑sparse industries are becoming crowded with startups and IPOs, focusing on the space sector and the emerging nuclear power market. They highlight the rapid influx of launch companies,...

Oil Rally Tests Diversification Strategy
In this episode, Serena Tang explains how a surge in oil prices could undermine the traditional negative correlation between stocks and bonds that investors rely on for diversification. She outlines how the pandemic-era co‑sell‑off of equities and bonds was driven...

Wednesday: Oil Slumps on Stockpile Hopes
The episode covers a sharp drop in oil prices toward $80 a barrel as markets anticipate the release of strategic stockpiles amid Middle East tensions, while Australian consumer confidence falls and business sentiment turns negative. It highlights China’s surge in...
#696: Q&A: Should Your Emergency Fund Be Invested?
In this episode, Paula Pant and former financial planner Joe Salcihai answer a listener’s question about the optimal size and placement of an emergency fund. They explain that the right fund size depends on personal risk tolerance and capacity, such...

Buckle Up
In this episode of Reuters Morning Bid, Amanda Cooper and Mike Dolan dissect the wild swings in oil prices after former President Trump hinted the Iran conflict could end soon, noting crude jumped $30‑$25 per barrel in a day before...

Why Aluminium Just Hit a Four Year High
In this episode, Alan "Aluminium" Clark of CM Group breaks down why aluminium prices have surged to a four‑year high, linking the rally to supply shocks at key refineries, tightening alumina margins, and China’s heavy reliance on Guinean bauxite. He...

7 Tax Mistakes to Avoid When Filing Your 2025 Taxes, Ep#296
In this episode Ryan Morrissey outlines seven common tax filing mistakes, from missing the April deadline and failing to report all income to overlooking new 2025 tax breaks and itemization opportunities. He stresses the importance of accurate personal details, double‑checking...

Surging Oil Prices Spark Market Jitters
The episode opens with a discussion of oil prices soaring above $100 per barrel, the sharpest jump in years, and the resulting market fear as higher energy costs threaten corporate earnings, inflation, and consumer spending. Hosts Jon Quass, Rachel Warren,...
What to Expect From Vietnam’s Leadership Election Results
The episode breaks down Vietnam’s 14th National Party Congress, where To Lam was reaffirmed as General Secretary and an ambitious 10% annual GDP growth plan was set. Analyst Nate Fishler explains how the upcoming March National Assembly elections could further...

$100 Oil Is Back
The episode examines the sudden surge of oil prices above $100 a barrel, driven by escalating attacks on Persian Gulf infrastructure amid the Iran‑Israel‑U.S. conflict. Journalists Luke Vargas and Joe Wallace explain how the closure of the Strait of Hormuz,...

03.09.26 SAVE MORE On Groceries / NEW Airline Credit Card Advice
In this episode Clark Howard breaks down where to find the cheapest groceries in the U.S., citing Consumer Reports data that shows Walmart as the baseline and highlighting that warehouse clubs like Costco and BJ's, as well as Aldi and...

Market View: How High Can Oil Go? Winners and Possible Losers Amongst Defense Stocks and SG Agri Counters
The episode examines how the recent escalation of the Iran‑Israel‑U.S. conflict is pushing oil above $100 per barrel, creating inflationary pressure and market volatility across Asia and the U.S. It highlights the mixed impact on Singapore‑listed agricultural stocks, where upstream...

Peter Conti-Brown on a New Fed-Treasury Accord
In this episode, host David interviews Peter Conti‑Brown about his recent essay outlining three possible reforms to the Fed‑Treasury relationship, focusing on discount‑window liquidity and its stigma. They discuss recent remarks by Fed Governor Michelle Bowman and Treasury Secretary Janet...

Stocks Slide After Weak February Jobs Report
The episode breaks down the surprisingly weak February jobs report, which showed a loss of 92,000 jobs and a rise in unemployment to 4.4%, highlighting sectoral declines in health care, construction, manufacturing, and hospitality. WSJ economics reporter Justin Layhart explains...

Global LPG Conversations: Middle East War Hits Global LPG Markets
The episode examines the immediate impact of the Middle East war and the closure of the Strait of Hormuz on global LPG markets, focusing on sharp price spikes in Asia's forward curve, especially the August Faris Index, which jumped 24%...
Beef Market Update: Cattle Price Yo-Yos, Herd Numbers Climb, and Volatility Shakes Futures Markets
In this Beef Market Update, Anne Wasco of Gateway Livestock Exchange breaks down recent volatility in U.S. cattle futures, noting lower live cattle prices and packer margin pressures that have led to reduced slaughter rates and higher wholesale cutout prices....

Lawmakers Warn Student Loan Oversight Is Slipping
Senators Elizabeth Warren and Jeff Merkley allege that the U.S. Department of Education is obstructing congressional oversight of federal student loan servicers by withholding key performance metrics such as call wait times and borrower satisfaction. Historically, the department published detailed...

Masters of the Muniverse: MMA Founder Doe on Prediction Markets
In this inaugural Bloomberg Intelligence FIC podcast, municipal market veteran Tom Doe discusses the emerging role of prediction markets—platforms like Polymarket and CalSHE—in providing real‑time sentiment and risk data for municipal bonds. He explains how these markets could address shortcomings...
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ASML: Competing with Moore’s Law - [Business Breakdowns, REPLAY]
In this episode Matt Russell and Bailey Gifford portfolio manager Tom Walsh dissect ASML’s rise from a struggling Philips spin‑out to the unrivaled supplier of extreme ultraviolet (EUV) lithography machines that power today’s AI‑driven semiconductor manufacturing. They explain the fundamentals...

Listeners Are Back Pitching Their Top Mining Stocks
In this episode the hosts reopen their listener‑driven stock‑pitch format, giving retail investors a platform to recommend junior mining companies. Two pitches dominate the discussion: Auric Mining (AWJ), a cash‑generating gold producer in Western Australia with a low market cap...
Starwood’s Pollack: Insurance Capital and Cloud Investments to Shape Firm's RE Growth
In this episode, Starwood Capital Group President Jonathan Pollack discusses his first year overseeing operations, emphasizing a strategic shift toward deeper partnerships with insurance capital and a rapid expansion of the firm’s data‑center platform driven by AI and cloud computing....

War in Iran, Healthcare Resurgence & Isa Changes: The Companies and Markets Show
The episode examines the fallout from the US‑Israel strike on Iran, with Mike Ferhey explaining how disruptions to the Strait of Hormuz and attacks on LNG facilities are driving sharp spikes in oil and gas prices, pressuring European energy markets,...

TWIFO 487: An Explosive Week in Energy, Equity, Crypto and More
In this episode of This Week in Futures Options, host Mark Longo and CME Group chief economist Eric Norland dissect a volatile week across energy, equity, and crypto markets. They highlight heating oil, crude oil, and natural gas as the...