All Episodes
The Pain Trade Podcast — 973 episodes · page 4 of 10
David Lin on Gold's Inflation Myth, Chinese Market Volatility, and the Impact of Geopolitical Tensions
David Nicoski on Sector Rotation, Bond Timing, and India's Rising Economic Influence
Chris Vermeulen on Market Timing, ETF Strategies, and Navigating Economic Downturns
Sal Gilbertie on Grain Investment Strategies, Market Timing, and Geopolitical Influences in Agricultural Commodities
Navigating Financial Turbulence and Embracing New Portfolio Models with Alex Shahidi
Ron Butler on Canadian Housing Stability, Lending Challenges, and Market Correction Risks
China'
Weston Nakamura on Japanese Political Shifts, Yen Carry Trade Dynamics, and China's Strategic Economic Policies
Justin Huhn on Nuclear Energy Advocacy, US Reactor Revival, and Uranium Market Dynamics
Chris Porter on Housing Market Dynamics, Immigration Trends, and Affordability Challenges
Alejandro Yela on Microcap Stocks, High-Risk Investment Strategies, and Global Market Dynamics
Mark Newton on US Energy Policies, Fed Rate Cuts, and Market Diversification Strategies
Harley Bassman on Bond Market Dynamics, Derivative Strategies, and Long-Term Interest Rate Trends
Rick Rule on Price Controls, Gold Investment Strategies, and Natural Resource Market Dynamics
Matthew Chang on Robotics Revolution, AI Integration, and Future Workforce Dynamics
Hal Lambert on Political Influence in Investments, CEO Dynamics, and Strategic Market Insights
Noel Smith on Hedge Fund Mastery, Multi-Strategy Approaches, and Interest Rate Futures Insights
Mark Nelson on Nuclear Fuel Economics, Germany's Energy Crisis, and Global Nuclear Trends
Mastering Technical Analysis, Bond Yield Cycles, and Precious Metals Trends with John Roque
Marc Faber on Courage in Modern Challenges, Yen Carry Trade Myths, and Global Market Influences
Jake Hanley on Soybean Biofuel Potential, Inflation Dynamics, and Agricultural Market Trends
Tom Morgan on Wall Street Burnout, Right-Brain Shift, and Holistic Well-Being Strategies
Navigating Investment Markets: From Meme Stocks to Treasury Bills with Sam Nofzinger
Mish Schneider on CPI Manipulation, Commodity Trends, and Future Market Dynamics
David Hay on Navigating Recessions, Bond Market Complexities, and Strategic Investment Shifts
Dan Gallagher on Macro Hedge Fund Impacts, Deglobalization Effects, and Strategic Financial Coaching
Chris Martenson on Federal Reserve Policies, Wealth Gap Dynamics, and Market Transformation
Dan Russo on Volatility as a Trading Signal, Market Breadth Insights, and Systematic Investing Models
Andreas Steno Larsen on Dollar-Yen Carry Trade Turmoil, Chinese Liquidity Trends, and US Construction Sector Risks
Mike Green on ETF Innovation, Passive Investing Risks, and the Future of Alternative Assets
David Keller on Sentiment Shifts, Defensive Sector Trends, and Gold's Strategic Importance
David Nelson on Credit Markets, Global De-Dollarization, and AI's Market Impact
Peter Boockvar on Market Volatility Drivers, CPI Implications, and Inflationary Investment Strategies
Danny Moses on Gold's Role in Economic Stability, Geopolitical Tensions, and Future Investment Risks
Katie Stockton on Market Volatility, Sector Shifts, and Technical Analysis for Active Management
Mike Silva on Market Volatility Analysis, Risk Management Techniques, and Trading Strategies During Recessions
Lyn Alden on Yen Carry Trade Misestimations, US Dollar System Insights, and Global Market Dynamics
Mike Larson on Market Cycles, Fed Actions, and Gold Investment Strategies
Axel Merk on Market Crisis Signals, Federal Reserve Dynamics, and Gold's Strategic Role in Diverse Portfolios
Weston Nakamura on Yen Carry Trade Risks, Japan's Currency Interventions, and Global Market Implications
Tavi Costa on Dollar Bearishness, Mining Investment Opportunities, and AI’s Dual Inflationary Effects
Diego Parrilla on Anti-Bubble Investing, Technological Change, and Global Market Risks
Jesse Felder on Insider Trading Insights, Market Dynamics Comparison, and Algorithmic Investing Challenges
Mark Yusko on AI, Data Security, and the Future of Fintech
Matt Stoller on U.S. Monopolies, Political Dynamics of Corporate Power, and Antitrust Enforcement Challenges
Jeff Booth on Technology-Driven Deflation, Bitcoin's Role in Global Markets, and Future Financial Systems
Joseph Wang on Federal Reserve Politics, Rate Cut Implications, and Trump's Dollar Strategy
Julian Brigden on Tech Market Sustainability, Small vs. Large Cap Dynamics, and Inflation Risks
Laurent Bernut on Japan's Economic Landscape, Sector Rotation Strategies, and the Psychology of Trading
Cameron Dawson on Wealth Portfolio Management, Market Trends, and Alternative Investments
Anas Alhajji on U.S. Presidential Influence on Oil Prices, Energy Market Geopolitics, and Nuclear Energy's Future
Jim Bianco on Sticky Inflation, Federal Reserve Politics, and Market Concentration Risks
Richard Duncan on the Evolution from Capitalism to Creditism, Global Credit Bubbles, and Economic Interventions
David Rosenberg's Bold Predictions on Global Markets and Economic Trends
Market Rebellion and Options Insights with Jon Najarian
Peter Berezin on AI Stock Overvaluation, Small-Cap Struggles, and Recession Indicators
Keith Weiner on How Gold Outshines Bitcoin as a Long-Term Investment
Understanding Collateralized Loan Obligations with Expert Shiloh Bates
Jan Nieuwenhuijs on China's Gold Strategies: Market Impact, Myths, and Future Prospects
Ophir Gottlieb on Untangling Economic Paradoxes: Wage Inflation, Small Business Challenges, and Bitcoin Diversification
Unlocking Value Investing Strategies with Daniel Mahncke: Behavioral Insights, Small Cap Analysis, and Portfolio Diversification
Janet Alvarez on Media Bias, Market Trends, and AI Innovations
Morning Few: Michael Gayed on Unmasking Semiconductor Market Myths
Morning Few: Exposing the Illusion of a Bull Market and the Pitfalls of Market Concentration
From Nord Stream to Taiwan: Brandon Weichert on Global Flashpoints
Gretchen Morgenson on Unveiling Private Equity's Hidden Impact: Financial Journalism, Asset Stripping, and the Quest for Transparency
Christopher Aaron on Mastering Precious Metals Markets: From Military Intelligence to Gold and Bitcoin Analysis
Gareth Soloway on Forecasting NVIDIA’s Market Position, Risk Management, and the Future of Investment Strategies
Navigating the Mining Sector's Boom with Insights from Trevor Hall
Professor Glenn Okun on Mastering the Art of Startup Finance Amid Economic Swings
Matt Dines on Navigating the End of the Bond Bull Market: Fixed Income Realities and the Promise of Bitcoin
Clint Murphy on Mastering Real Estate Investment and Personal Growth: Strategies and Lessons for Success
Sam Burns on Mastering Asset Allocation Amidst Market Crossroads and Economic Uncertainty
The Quest for Financial Literacy in a Volatile Market Landscape with Caleb Silver
Navigating the New Era of Retail Investing with Stephen Sikes: Myths, Strategies, and the Rise of the Informed Investor
Alasdair Macleod on Gold's Rising Fortunes and the Looming Dollar Decline
James Sayffart on Navigating the Evolving Landscape of ETFs and Digital Asset Management
Michael Howell's Insight into the Commodities Renaissance and Market Forces
Lisa Hough on Embracing Energy Maximalism, Bitcoin Sovereignty, and the Importance of Financial Education
Geopolitical Strategy in an Era of Uncertainty featuring Hal Brands
Jonathan Matthews' Perspective on Inflation Control and Trading Tactics
Unraveling the Complexities of Energy Markets with Expert Amena Bakr
Weathering Market Shifts and AI Advancements with Amanda Agati’s Expertise
Dan Russo on Mastering Systematic Investment Strategies and the Art of Risk Management
Transforming Adversity into Entrepreneurial Triumph and Community Impact with Jason Sisneros
Ira Jersey on Deciphering Fed Signals, Fiscal Policy Intricacies, and the Mechanics of Market Movement
Charting the Course of Fixed Income Markets in the Face of Inflation with Althea Spinozzi
Steering Through Market Uncertainty with Kurt Altrichter's Investment Acumen
David Bagge Explores Nordic Equity Intricacies, Real Estate Comparisons, and the Role of Gold in Diversification
Mark Ritchie II Unearths the Philosophical Approach to Market Mastery
Tuomas Malinen on Crafting a Life Raft in a Sea of Economic Uncertainty
Josh Linville on Unveiling the Complexities of the Global Fertilizer Market and its Impact on Food Security
Eric Finnigan Unravels Housing Market Dynamics Amidst Demographic Shifts and Remote Work Trends
Christine Benz on Mastering Investment Strategies and Navigating Retirement Planning Challenges
Jonathan Wellum on Mastering Value Investing and Navigating the Complexities of ESG and Economic Challenges
Nick Halaris on Navigating the New Realities of Real Estate Investment and the Rise of Property Tokenization
Brian Albrecht Dismantles Economic Myths Surrounding Market Power, Inflation, and Tariffs
Todd Harrison on Cannabis Industry Resilience and Investing Amid Regulatory Shifts
Jay Parsons Reveals What's Really Driving the Rental Sector
Dissecting the AI Revolution's Economic Ripple Effects with Industry Expert Dylan Patel