What the Oil Shock Means for Stocks, Gold & Rates with Bipan Rai episode artwork

EPISODE · Apr 15, 2026 · 31 MIN

What the Oil Shock Means for Stocks, Gold & Rates with Bipan Rai

from The Canadian Investor · host Braden Dennis & Simon Belanger

In this episode of The Canadian Investor Podcast, we welcome back Bipan Rai from BMO ETFs to break down one of the biggest macro stories of the year: the oil shock triggered by the Iran conflict and what it could mean for inflation, central banks, and investors. We discuss why this environment may look very different from 2022, whether the Bank of Canada and Federal Reserve are likely to stay on hold, and why markets may be underestimating downside risks to economic growth. We also cover why gold has struggled despite geopolitical turmoil, rising bond yields, and the surge in the US dollar. Finally, we dive into private credit stress, whether contagion risks are overblown, and where Bipin sees opportunities today—including commodities, diversification, and equal-weight strategies.   Subscribe to our Our New Youtube Channel! Check out our portfolio by going to Jointci.com Our Website Our New Youtube Channel! Canadian Investor Podcast Network Twitter: @cdn_investing Simon’s twitter: @Fiat_Iceberg Braden’s twitter: @BradoCapital Dan’s Twitter: @stocktrades_ca Want to learn more about Real Estate Investing? Check out the Canadian Real Estate Investor Podcast! Apple Podcast - The Canadian Real Estate Investor  Spotify - The Canadian Real Estate Investor  Web player - The Canadian Real Estate Investor Asset Allocation ETFs | BMO Global Asset Management Sign up for Fiscal.ai for free to get easy access to global stock coverage and powerful AI investing tools. Register for EQ Bank, the seamless digital banking experience with better rates and no nonsense.See omnystudio.com/listener for privacy information.

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What the Oil Shock Means for Stocks, Gold & Rates with Bipan Rai

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