EPISODE · Jan 16, 2026 · 54 MIN
140 - Stop Overpaying: How We Actually Decide What to Buy
from Roaming Returns
Most investors obsess over what to buy. In 2026, the real edge is when and where you buy it.In this episode, we break down the valuation-driven framework we actually use to decide whether something is a buy — across:Individual stocksREITsBDCsClosed-end fundsETFs (including the S&P 500)We walk through real examples like UPS, Realty Income (O), Main Street Capital, USA CEF, and VOO to show:How entry price impacts total return more than exit timingWhy yield and dividends act as downside protectionWhich valuation metrics matter for each asset typeHow to spot overvalued “favorites” before they correctWhere income investors can still find margin of safetyThis episode isn’t about predictions or hype — it’s about having your own valuation framework, so you’re not relying on analysts, headlines, or hope.If you’re preparing for a volatile 2026 and want to protect capital while still getting paid, this is our playbook.Questions? Email Tim at [email protected] Want FREE weekly market updates, Tim's top 10 dividend picks, and our portfolio updates delivered right to your inbox? Subscribe to our email list. Stay connected. Follow us on social! **DISCLAIMER**Ticker metrics change as markets and companies change, so always do your own research. The content in this podcast is based on personal experience and is for educational purposes, not financial advice. See full disclaimer here. Episode music was created using Loudly.
NOW PLAYING
140 - Stop Overpaying: How We Actually Decide What to Buy
No transcript for this episode yet
Similar Episodes
Jul 1, 2026 ·55m
Jun 25, 2026 ·36m
Jun 18, 2026 ·27m
Jun 11, 2026 ·38m
Jun 5, 2026 ·2m