Podcast

T&C | Episode 43: Pivot to Divot

2022-11-08T14:43:44+00:00

In the wake of the release of the Fed’s minutes, we discuss relevant acronyms (FIFA, NATO, FUBAR) as well as a few four-letter words the hawkish comments elicited from markets. We compare the minutes to the tenor of the press conference, the likely paths inflation might follow, and the implications for equity valuations and earning.

T&C | Episode 43: Pivot to Divot2022-11-08T14:43:44+00:00

T&C | Episode 42: Heartbeat

2022-10-21T12:20:00+00:00

Does the market have one? We discuss the recent signs of market life despite what seems like the Fed’s desire to raise rates no matter the collateral damage. We also explore the parody that is risk parity, and the danger it poses to pension funds.

T&C | Episode 42: Heartbeat2022-10-21T12:20:00+00:00

T&C | Episode 41: From the Chair

2022-10-06T20:20:11+00:00

We look at the historically woeful start to 2022 for both stocks and bonds and explain why these coinciding declines are causing stress in the financial system, as well for investors. We also analyze the efficacy of the Fed’s toolkit to fight inflation and how rate increases typically flow through the economy....

T&C | Episode 41: From the Chair2022-10-06T20:20:11+00:00

T&C | Episode 40: Sub-Optimal Means You Are Not Sweating

2022-10-05T20:36:12+00:00

Are recent comments by the Fed inspiring or perspiring? We discuss the sub-optimal setup for the European Central Bank, what is helping (and hurting) the case for a reversion to sub-2% inflation domestically, and what it means for markets over the near- and medium-term. Also, public service announcements on preventative health care and meme stocks.

T&C | Episode 40: Sub-Optimal Means You Are Not Sweating2022-10-05T20:36:12+00:00

T&C | Episode 39: Whack-a-Moron

2022-08-25T17:51:27+00:00

We look at the situation facing the Fed as the market anxiously awaits comments from Jackson Hole. With student debt forgiveness and the misnamed Inflation Reduction Act renewing fiscal stimulus, can the Fed engineer a soft landing? We also analyze the divergence between the favorable technical setup versus stretched valuations. Finally, we recap the most recent round of meme stock mania which, thankfully, we watched from the sidelines.

T&C | Episode 39: Whack-a-Moron2022-08-25T17:51:27+00:00

T&C | Episode 38: August 32nd

2022-08-09T13:25:20+00:00

In a market that makes about as much sense as August having an extra day, we examine the reasons for the strong equity returns in July and the incongruent views the market currently has on rates versus earnings expectations. We also discuss the squeeze consumers are feeling as savings rates decline and credit card debt expands.

T&C | Episode 38: August 32nd2022-08-09T13:25:20+00:00

T&C | Episode 37: Head Fake or Head Butt?

2022-07-25T12:58:07+00:00

After a brief hiatus, Will and Adam return to talk about the market’s welcome recent rebound. Is it a head fake or will the bad news is good news narrative continue? Higher inflation and restrictive Fed policy have the potential to head butt investors, but the technical set-up remains favorable.

T&C | Episode 37: Head Fake or Head Butt?2022-07-25T12:58:07+00:00

T&C | Episode 36: Unremarkable Edge

2022-05-31T19:13:58+00:00

Are equity markets still in the danger zone? Join Will, Adam, and Kenny Loggins (well, two of the three) as they discuss the brief bear market, what is fueling the recent rebound, and whether we are in for more turbulence. Can the Fed engineer a soft landing, or will it crash and burn? Be our wingman as we explore these topics and more.

T&C | Episode 36: Unremarkable Edge2022-05-31T19:13:58+00:00

T&C | Episode 35: Frowned Upon

2022-05-20T17:22:17+00:00

Investors are certainly frowning upon the Fed’s recent comments. We explore large caps trading like small caps, how inflation is affecting consumer behavior and how companies are responding. We also delve into prior periods of market distress to look for signs as to how far along the current drawdown may be.

T&C | Episode 35: Frowned Upon2022-05-20T17:22:17+00:00

T&C | Episode 34: Whole Grain, Gluten Free

2022-05-05T17:18:39+00:00

The market’s recent selloff is in focus. Can the Fed be seen as slightly accommodative while still getting a handle on inflation, or is that just as impossible as our title? What are the effects of the war in Ukraine and Chinese lockdowns on inflation, and how big are they as building blocks of the current wall of worry? We also discuss the parts of our investment strategy that become more important in this environment.

T&C | Episode 34: Whole Grain, Gluten Free2022-05-05T17:18:39+00:00