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All Episodes

The Pain Trade Podcast — 973 episodes · page 3 of 10

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Title
201

Brian Drubetsky: Unlocking Small Cap Potential

202

Investing Like a Yale Endowment: Secrets Revealed with Meb Faber

203

Income from Options: Understanding Covered Call Strategies with Howard Chan

204

Diversified Returns: The Case for Risk Parity with Alex Shahidi

205

Will Rhind on High Income Pass-Through Securities, Yield Boost Strategies, and Strategic Portfolio Diversification

206

Jake Hanley and Sal Gilberti on Commodity Trading Dynamics, Agricultural Stability, and Strategic ETF Innovations

207

Jay Hatfield on Small-Cap Stocks, Tariff Impacts, and Strategic Investment Success

208

nlocking True Health: Escape the Drug Dependency Mindset

209

Michael Gayed on Gold's Resilience, Japan's Interest Rate Challenges, and Strategic Investment Insights

210

Seth Cogswell on Diversification Myths, Active ETF Strategies, and Mid-Cap Investment Opportunities

211

Sal Gilberti on Agricultural Market Dynamics, Geopolitical Influences, and Strategic Investment Opportunities

212

Craig Shapiro on Fed Policy Impacts, AI’s Financial Role, and Strategic Market Adaptations

213

Dynamic Portfolio Strategies for a Shifting Financial Landscape with Brad Barrie and Matt O'Brian

214

Chris Getter of Simplify, and Anupam Ghose on India's Economic Evolution, Investment Strategies, and Market Opportunities

215

Craig Brockie on Gut Health Challenges, Naturopathic Turnaround, and Embracing Holistic Wellness

216

Howard Chan on Advanced ETF Insights, Technology Market Shifts, and Strategic Income Generation

217

Mike Larson on Offensive Investment Styles, Global Diversification, and 2025 Market Trends

218

Michael Gayed on Reverse Carry Trade Dynamics, AI’s Market Influence, and Independent Investment Strategies

219

Michael Gayed on Market Manipulation Myths, Deregulation Impacts, and Strategic Investment Opportunities

220

Walter Deemer on Small Cap Potential, Historical Market Parallels, and Navigating Speculative Trends

221

Nomi Prins on Central Bank Dynamics, Gold Reserves Strategy, and the AI Impact on Commodities Market

222

Jeff Cullen and Cathy Howse on Dividend Strategies, ETF Insights, and Enhancing Financial Literacy

223

Jay Hatfield on Deregulation Effects, Strategic Bond Alternatives, and Inflation Risk Management Strategies

224

Jeff Sarti on Rethinking Diversification, Private Credit Insights, and Behavioral Finance in Investing

225

Timothy Sykes on Mastering Penny Stocks, Navigating Volatility, and Aligning Wealth with Philanthropy

226

Vance Barse on Narcissism in Professional Careers, Market Volatility Strategies, and Psychological Investment Influences

227

Euan Sinclair on Simplifying Options Trading, Zero DTE Strategies, and Navigating Volatility Risks

228

Paisley Nardini on Alternative Investments, Managed Futures Strategies, and Navigating Market Volatility

229

Vuk Vukovic on Elite Network Dynamics, Innovative Market Research, and Strategies for Addressing Economic Inequality

230

Hal Lambert on Politically Driven Investment Strategies, MAGA ETF Performance, and Navigating Deregulation Dynamics

231

Julian Brigden on "Trump 2.0" Market Impacts, Cryptocurrency Dynamics, and Avoiding Speculative Bubbles

232

Phillip Wool on Machine Learning in Investing, US Equities Strategy, and Emerging Market Opportunities

233

Kyle Kazan on Cannabis Industry Evolution, Strategic Real Estate Insights, and Overcoming Federal Challenges

234

Meb Faber on Cutting-Edge ETF Innovations, Tax-Efficient Strategies, and Global Investment Outlook

235

Aleks Svetski on Bitcoin's Transformative Potential, Quantum Computing Challenges, and Philosophical Insights from "Bushido of Bitcoin

236

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237

Lakshman Achuthan on Economic Cycle Insights, Yield Curve Un-inversion, and Global Manufacturing Challenges

238

Max Osbon on Tech Investment Resilience, Market Volatility Strategies, and the Speculative World of SPACs and Micro-Cap Innovations

239

Amy Nixon on Post-Pandemic Housing Dynamics, Mortgage Lock-in Paradoxes, and Strategic Investment Insights

240

Charles Rotblutt on Emotional Investment Influences, Small-Cap Growth Prospects, and Diversified Portfolio Strategies

241

Kevin Bambrough on Stress Management Techniques, Mitochondrial Optimization, and Achieving Peak Performance through Passion and Purpose

242

Axel Merk on Strategic Gold Investments, Risk Management Nuances, and AI's Role in Future Forecasting

243

Meb Faber on ETF Fund Strategy Mastery, Tax-Efficient Investment Insights, and Global Market Dynamics

244

Seth Cogswell on Fiduciary vs Asset Gathering Roles, Mid-Large Cap Stock Opportunities, and Rules-Based Investment Strategies

245

Robin Wigglesworth on Bond Market Volatility, European Financial Optimism, and Central Bank Roles in Market Stability

246

Howard Chan on Balancing Income and Growth, Democratizing Investment Strategies, and Tax-Efficient Yield Premium ETFs

247

Darius Dale on Revolutionary Macro Risk Approaches, Market Timing Momentum, and Implications of Fiscal Policy Dynamics

248

Michael Kramer on Navigating Stock Market Paradoxes, Global Valuation Trends, and Strategic Investment Insights

249

Jay McAndrew and Nicole Vance on Municipal Bond Strategies, Chicago's Financial Insights, and Tax-Exempt Investment Opportunities

250

Michelle Connell on Alternative Investment Strategies, Small-Cap Market Insights, and the Art of Financial Storytelling

251

Michael Gayed on 2025 Market Predictions, Cryptocurrency vs Gold Dynamics, and Strategic Investment Opportunities

252

Mike Larson on Market Trend Predictions, Gold Investing Insights, and Money Show Conference Highlights

253

Meet Kevin on Deflationary Trends, Investment Strategies, and the Impact of Future Trump Policies

254

Seth Cogswell on Family Legacy Strategies, ETF Launch Insights, and Efficient Growth Tactics

255

Fabio Ruggeri on Modern Market Strategies, Options Trading Evolution, and Democratizing Data Analysis Tools

256

Porter Collins on Political Impact Strategies, Market Volatility Insights, and Asymmetric Investment Opportunities

257

Hal Lambert on Deregulation's Economic Impact, MAGA ETF Insights, and Corporate Political Strategies

258

Matt Markiewicz and Paul Schatz on Leveraged ETF Tactics, Market Downturn Strategies, and Benchmark Outperformance Challenges

259

Jason Hsu on Smart Beta Strategies, China's Market Considerations, and Investment Opportunities in Japan

260

Michael Belkin on Global Stock Market Tops, Geopolitical Tensions, and Safe Haven Investment Strategies

261

Larry McDonald on Strong Dollar Challenges, Silicon Valley Impacts, and Energy Sector Capital Shifts

262

Sal Gilberti on Trade Tariffs Impact, Agricultural Subsidies Dynamics, and China's Role in Global Commodities Markets

263

Andrew O'Connell on Trading Challenges, Technical Analysis Insights, and the Impact of Social Media on Retail Investing Strategies

264

Alex Shahidi on Risk Parity Investing, Portfolio Diversification Strategies, and Mitigating Market Volatility

265

Laks Ganapathi on Short Selling Tactics, Management Quality Pitfalls, and Political Shifts Impacting Investment Strategies

266

Doug Peta on Rethinking Equity Exposure, Labor Market Trends, and Defensive Investment Strategies in Uncertain Times

267

Axel Merk on Post-Election Market Dynamics, Cryptocurrency Regulations, and Gold Mining Sector Resilience

268

Pierre Ferragu on AI Wealth Gap Implications, Industry Shifts, and Chip Market Competition Dynamics

269

Chris Browne on Democracy-Driven Investment Strategies, Global Market Shifts, and Emerging Opportunities in Democratic Regions

270

Marco Papic on Geopolitical Trilemmas, Fiscal Policies Impact, and Navigating Investment Challenges

271

Fiscal Dominance Challenges, Bitcoin and Gold Market Dynamics, and the Impact of High-Interest Rates on Monetary Policy Strategies

272

James Fishback on Rethinking Quotas, Retail Investing Impact, and Advocating Meritocracy in Business Practices

273

Matt Markiewicz on Leveraged ETF Strategies, Market Volatility Cautions, and Long-Term Investment Horizons

274

Phil Wool on Emerging Market Anomalies, Quantamental Strategies, and Active vs Passive Investment Dynamics

275

Russell Tencer on Leveraged ETF Innovations, Tesla and Nvidia Trading Strategies, and Emerging Market Applications

276

Spencer Jakab on Housing Market Challenges, Global Fiscal Implications, and Strategic Investment Diversification

277

Anthony Crudele on Futures Trading Evolution, Risk Management Tactics, and Embracing Mindful Market Strategies

278

Katie Stockton on Technical Analysis Mastery, Sector Rotation Strategies, and Navigating Market Shifts

279

Leland Miller on China's Economic Intricacies, Geopolitical Strategies, and Market Sector Dynamics

280

Axel Merk on Gold Investing Dynamics, Mining Sector Strategies, and Diversification Essentials

281

Cem Karsan on Options Market Evolution, Global Investment Dynamics, and Navigating Economic Complexity

282

Kevin Mahn on AI Investment Opportunities, NVIDIA's Market Role, and Nuclear Power's Green Future

283

Sam Stovall on Fed Policy Impacts, Election Year Market Trends, and Strategic Sector Rotation

284

Exploring ETF Evolution and India’s Market Potential with Jay McAndrew

285

Ken Mahoney on Wall Street Insights, Broadway's Risk-Reward Dynamics, and Navigating Market Volatility

286

David Keller on Market Trend Exhaustion, Emotion's Role in Investing, and Strategic Portfolio Management

287

Eric Balchunas on ETF Industry Innovations, Risk-Taking Trends, and Investor Psychology Dynamics

288

Keith Fitzgerald on Quantum Mental Investing, AI Trends, and Mastering Modern Market Strategies

289

Christine Benz on Retirement Portfolio Strategies, Effective Withdrawal Approaches, and Navigating Spending Transitions

290

Jamie Hopkins on Preserving Legacies, Digital Asset Challenges, and Modern Estate Planning Strategies

291

Ed Yardeni on US Market Resilience, Tech Concentration Risks, and Inflation-Ready Portfolios

292

Keith Dicker on Canadian Equities, Economic Challenges, and Portfolio Diversification Strategies

293

David Stockman on Reaganomics' Legacy, Fed Policy Challenges, and Future Economic Prospects

294

Michael Taylor on Bridging Science and Finance, Breast Cancer Philanthropy, and Healthcare Investment Innovations

295

Gary Brode on Inflation Causes, China's Economic Impact, and Uranium's Energy Future

296

Hal Lambert on Politically Driven Investing, Corporate Influence, and Navigating 2024 Election Impacts

297

Danielle DiMartino Booth on Post-Pandemic Economic Trends, Inflation Metrics, and Investment Strategies

298

Jay Van Bavel on Social Media Tribalism, AI Influences, and Psychological Impact of Online Engagement

299

Neely Tamminga on Youth Employment Trends, Social Media Effects, and Financial Independence Challenges

300

Marc Cohodes on Market Corruption, Tech-Driven Valuations, and the Cannabis Industry's Growth Potential