AMI Asset Management Investment Perspective Episode #24 - 4/25/2025 episode artwork

EPISODE · Apr 25, 2025 · 33 MIN

AMI Asset Management Investment Perspective Episode #24 - 4/25/2025

from AMI Asset Management Investment Perspective · host AMI Asset Management

In today's AMI Investment Perspective podcast we provide a macro update noting weakening economic indicators, persistent inflation expectations, and potential drags from tariffs and reduced shipping. Sector commentary is highlighted by resilient healthcare and tech earnings, optimism around tariff relief, shifting supply chains, and mixed energy outlooks amid geopolitical tensions. We also discuss the consumer markets, and how sentiment improved modestly, but companies like Tesla, Chipotle, and Pepsi faced headwinds, while Philip Morris saw strong growth from its nicotine pouch brand, Zyn.

Episode metadata supplied by the publisher feed · Published Apr 25, 2025

Embed this episode

Ready to play

AMI Asset Management Investment Perspective Episode #24 - 4/25/2025

0:00 33:18

No transcript for this episode yet

We transcribe on demand. Request one and we'll notify you when it's ready — usually under 10 minutes.

No similar episodes found.

No similar podcasts found.

Frequently Asked Questions

How long is this episode of AMI Asset Management Investment Perspective?

This episode is 33 minutes long.

When was this AMI Asset Management Investment Perspective episode published?

This episode was published on April 25, 2025.

Can I download this AMI Asset Management Investment Perspective episode?

Yes. Use the download control on the episode player to save the publisher-provided media file.
URL copied to clipboard!