
DB - Oct 6, 2020 - Market Rollercoaster: Headline vs. Macro Drivers
Senior editor, Ash Bennington, joins Tony Greer, editor of the Morning Navigator, to examine the latest wild market swings. Despite a large selling episode on Friday with the announcement of President Trump being diagnosed with COVID-19, Tony discusses how the rally still has momentum as the macro indicators are still driving markets upward. Ash then asks how Tony is currently hedging the news of the president's health, and they talk about how FAANG is now getting pummeled even though the rally is still holding. They review historical examples of key anti-trust cases and share their thoughts on why breaking up big tech may catch retail investors flat-footed. They wrap up their conversation with Tony sharing some trading lessons he's learned from his experience and what he's looking out for next. Real Vision reporter Haley Draznin explains why stocks took a dive Tuesday afternoon after President Trump said he ordered an end to stimulus negotiations until after the November election. Learn more about your ad choices. Visit podcastchoices.com/adchoices
6 Okt 202028min

DB-Oct 5, 2020 -Are We in an Economic Depression?
Senior editor Ash Bennington and managing editor Ed Harrison break down another day of risk-on sentiment as the market evaluates the state of President Trump’s health and the chances of another round of fiscal stimulus. Ed explores whether the term “depression” is appropriate, through the lens of his interview today with David Rosenberg. Ed and Ash then look at how duration risk and political gridlock might impact markets going forward. Lastly, Ash discusses his interview on Friday with Brian Estes, and looks forward to Live Q&A's with Lyn Alden, George Goncalves, and Ted Seides on “The Exchange”: https://exchange.realvision.com/. In the intro, editor Jack Farley takes a look at movie theater chain Cineworld's decision to shutter hundreds of theaters in the U.S. and U.K. Learn more about your ad choices. Visit podcastchoices.com/adchoices
5 Okt 202036min

The Interview w/ Raoul Pal & Marc Cohodes: When Megatrends Collide
Marc Cohodes is well known as a confident and vocal short-seller willing to fight harder and dig deeper into a company than anyone else in the business. But when he sees the buying opportunity of a lifetime, he's just as willing to get to work on the long side and spread the good news. In this interview with Raoul Pal, Cohodes explains why the combination of a booming e-commerce business, the massive call option of tokenization, and the tZERO blockchain network have him extremely bullish on Overstock even after riding the stock from $3 to $90 in its most recent run. As well, they discuss Marc's other "all in" call on Camping World, a company that, much like Overstock, has him licking his chops and continuing to buy alongside insiders who have not stepped out of the market in spite of the general frothiness that abounds. Cohodes also updates viewers on the personal and emotional rollercoaster that has been his MiMedx short. Air Date: 4 Sep 2020 Learn more about your ad choices. Visit podcastchoices.com/adchoices
4 Okt 20201h 20min

The Interview - Turkish Lira: A Recipe for Disaster?
Michael Nicoletos, CIO and co-founder of Appletree Capital, is joined by John Floyd, head of macro strategies at Record Currency Management, to analyze the mounting pressures on the Turkish Lira as well as other emerging market (EM) currencies. Floyd breaks down his bearish thesis on the Turkish Lira (TRY), citing Turkey's deeply negative real rates, dwindling FX reserves, and a banking sector deeply indebted to foreign creditors on a dollar- or euro-denominated basis. Floyd and Nicoletos then discuss the knock-on effects of a Turkish Lira collapse as so many European banks (especially Spanish ones) are heavily exposed to Turkey. Lastly, Floyd shares with Nicoletos the various trades to express this view. Aired on September 11, 2020 on realvision.com Learn more about your ad choices. Visit podcastchoices.com/adchoices
3 Okt 202040min

DB-Oct 2, 2020 - White House Outbreak and the Teetering Equity Market
Real Vision CEO and co-founder, Raoul Pal, joins senior editor, Ash Bennington, to interpret the latest financial newsflow. Raoul explores the possibility of a top forming in U.S. equities through the lens of his “GMI crash pattern.” He and Ash then analyze President Trump’s diagnosis of COVID-19 and investigate its potential market impact. Raoul then talks about today’s interview with hedge fund legend Dmitry Balyasny as well as next week’s interview with bond kingpin Jeffrey Gundlach. Raoul and Ash briefly discuss the criminal charges brought against BitMEX, one of the world’s largest crypto exchanges. Lastly, Raoul shares his view on the enfeebled energy sector. In the intro, Real Vision’s Jack Farley breaks down the price action following the COVID-19 outbreak in the White House. Learn more about your ad choices. Visit podcastchoices.com/adchoices
2 Okt 202042min

DB-Oct 1, 2020 - Reflation and Recovery: The Long-Term Outcomes of Today's Market Pressures
Managing editor, Ed Harrison, joins managing editor, Roger Hirst, to break down today’s price action. Using Julian Brigden’s Expert View from September 28th as a springboard, Roger discusses the pressures that central banks are under to create reflation in an environment of low productivity, low growth, and a weaker dollar when they have instead contributed to asset price inflation. Roger and Ed also analyze the rebound in equities by considering how US equities are carrying out a bullish narrative of recovery as compared to poorer equity performance outside of the US. Wrapping up their conversation, Roger also offers his thoughts on the NASDAQ futures short position as well as how pensions are being threatened now. Real Vision reporter Haley Draznin takes a look at the rise in SPACs as first blank-check ETF makes its trading debut today. Learn more about your ad choices. Visit podcastchoices.com/adchoices
1 Okt 202033min

DB Sep 30 - 2020 - The Ultimate "Pain Trade"
Real Vision managing editor Ed Harrison hosts Peter Boockvar, chief investment officer of Bleakley Advisory Group and editor of The Boock Report. Boockvar shares his macro analysis on what he calls “the pain trade": companies that have been the most hurt by COVID-19 and have the most to gain from re-opening. Boockvar and Harrison review the latest economic data and discuss what is and what is not priced into the markets. Boockvar also discusses banks as the ultimate value trap and why they may be poised for an ultimate turnaround should the long-end of the yield curve tighten. Real Vision reporter Haley Draznin breaks down two major technology companies, Palantir and Asana, and their direct listings on the NYSE today and how this could reshape the IPO market. Learn more about your ad choices. Visit podcastchoices.com/adchoices
30 Sep 202036min

DB Sep 29 - 2020 - Manic Markets: Energy, Tech, Financials, and Sentiment
Senior editor, Ash Bennington, joins Tony Greer, editor of the Morning Navigator, to break down recent price action in markets. Tony provides his latest thoughts about what’s happening in the energy sector and where oil is headed as we begin to close out 2020, reviews his stance on the tech rally and its sub-sectors, and offers his perspective on the financials sector. Ash and Tony also discuss market sentiment with the U.S. presidential election fanning the flames of anxiety and the risk of COVID-19 still looming. Real Vision reporter Haley Draznin looks ahead at what investors will be watching for in the first US presidential debate and its impact on continued market volatility. Learn more about your ad choices. Visit podcastchoices.com/adchoices
29 Sep 202030min






















