SI338: Politics, Markets & Power Plays: An Unfiltered Look ft. Cem Karsan

SI338: Politics, Markets & Power Plays: An Unfiltered Look ft. Cem Karsan

Together with Cem Karsan, we take a serious look at how the shifting political landscape and economic pressures are impacting global markets. We discuss the implications of a potential (engineered) recession and what it means for various asset classes, especially in relation to current U.S. policies. With the conversation turning to Europe, we analyze the region's military rearmament and its potential effects on the global balance of power. We also touch on the evolving dynamics regarding Turkey's economic challenges and geopolitical significance. Buckle up for a straightforward discussion filled with insights and practical implications for investors navigating this complex landscape.

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50 YEARS OF TREND FOLLOWING BOOK AND BEHIND-THE-SCENES VIDEO FOR ACCREDITED INVESTORS - CLICK HERE

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Episode TimeStamps:

01:03 - What has caught our attention recently?

05:40 - We are at a populism crossroads

07:09 - Industry performance update

09:02 - The current state and outlook for the global economy

21:03 - The absurdity of lowering yields to maintain a strong dollar

28:47 - The Mar-a-Lago accord - realistic or pure speculation?

35:42 - Are we seeing a new new world order?

42:20 - How the TSMC deal with the US will impact the conflict between Taiwan and China

50:28 - A perfect storm for the Turkish economy

57:20 - The importance of Turkey's position and military power

58:49 - Oil is in a weird spot at the moment

01:03:00 - Could extreme market drops cause...

Avsnitt(907)

IL46: The Business Model Trap: Why Short Ideas Start in the Real World ft. Mark Roberts

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In today’s episode we talk to Mark Roberts, founder of Off Wall Street, a legendary provider of short selling research to hedge funds. Seven months before Enron became the biggest bankruptcy in US cor...

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SI388: Peak Bubble? Why Markets Feel Different in 2026 ft. Mark Rzepczynski & Alan Dunne

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Today Alan and Mark step back from the noise to examine a market environment that feels subtly but meaningfully different. From AI euphoria giving way to harder questions, to gold’s steady rise and a ...

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SI387: The Cost-Benefit of Being Trendy ft. Andrew Beer & Tom Wrobel

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Today, we examine a year that looked chaotic but felt familiar to trend followers. Gold surged, equities rotated globally, and non-US markets quietly gained momentum. Yet beneath strong returns lies a...

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GM96: The End of the Hedge: When Bonds Stop Protecting Portfolios

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A familiar portfolio map is being redrawn. Ian Harnett traces the regime shift from disinflation and reliable bond hedges to a world where inflation pressures linger, supply chains shorten, and capita...

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Today, we are joined by Rob Carver to unpack one of the most volatile weeks seen in commodity markets in years. The conversation centers on silver’s sharp rise and sudden collapse, using it as a case ...

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UGO09: Playing the Players in a Narrative Market ft. Ben Hunt

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Cem Karsan sits down with Ben Hunt, founder of Epsilon Theory, to explore how narratives shape markets, politics, and decision making itself. Drawing on decades of experience across academia, hedge fu...

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SI385: When Volatility Becomes the Signal ft. Katy Kaminski

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Katy Kaminski joins us to assess the early signals shaping markets in 2026. The conversation explores the resurgence of commodity trends, the role of volatility estimation, and why diversification acr...

31 Jan 1h 4min

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