The Bear Market Podcast with Fexingo: Surviving Downturns, Buying the Dip, and Long-Term Resilience

PODCAST · business

The Bear Market Podcast with Fexingo: Surviving Downturns, Buying the Dip, and Long-Term Resilience

When markets turn and your portfolio bleeds, the noise gets loud. The Bear Market Podcast with Fexingo is the quiet room where Lucas and Luna dissect what's actually happening — not with panic, but with the data. Each episode starts with a live snapshot of the S&P 500, the VIX, and the 10-year yield, pulled from yfinance and FRED. Then they talk through a single, concrete question: Is this dip worth buying? Or is the bottom still ahead? Lucas walks through valuation metrics, sector rotation, and historical drawdown analogs — 1973-74, 2000-02, 2008, 2020 — while Luna presses on the human side: how do you tell a liquidity crisis from a recession signal? How do you rebalance without selling low? They look at real companies — Apple, Berkshire, a regional bank, a beaten-down REIT — and run the math on when to hold, when to add, and when to wait. The conversation stays grounded in the numbers and the history, never in hot takes. This is for the investor who reads the prospectus, who checks t

No episodes available yet.

Type above to search every episode's transcript for a word or phrase. Matches are scoped to this podcast.

Searching…

We're indexing this podcast's transcripts for the first time — this can take a minute or two. We'll show results as soon as they're ready.

No matches for "" in this podcast's transcripts.

Showing of matches

No topics indexed yet for this podcast.

Loading reviews...

ABOUT THIS SHOW

When markets turn and your portfolio bleeds, the noise gets loud. The Bear Market Podcast with Fexingo is the quiet room where Lucas and Luna dissect what's actually happening — not with panic, but with the data. Each episode starts with a live snapshot of the S&P 500, the VIX, and the 10-year yield, pulled from yfinance and FRED. Then they talk through a single, concrete question: Is this dip worth buying? Or is the bottom still ahead? Lucas walks through valuation metrics, sector rotation, and historical drawdown analogs — 1973-74, 2000-02, 2008, 2020 — while Luna presses on the human side: how do you tell a liquidity crisis from a recession signal? How do you rebalance without selling low? They look at real companies — Apple, Berkshire, a regional bank, a beaten-down REIT — and run the math on when to hold, when to add, and when to wait. The conversation stays grounded in the numbers and the history, never in hot takes. This is for the investor who reads the prospectus, who checks t

HOSTED BY

Fexingo

CATEGORIES

URL copied to clipboard!