Chautauqua's Beitner: Optimism is excessive relative to long-term impacts from pandemic

Chautauqua's Beitner: Optimism is excessive r...

Up next

NDR's Clissold: Economy, market can weather rate hikes and 5% bond yields

Ed Clissold, chief US strategist at Ned Davis Research, says that economic indicators continue to look fine, but that growth is now driven by artificial-intelligence capital spending and wealth-effect spending by consumers who have benefitted from the rising market, which means t ...  Show more

Natixis' Janasiewicz: 'Slowing' economy remains a solid base for earnings

Jack Janasiewicz, lead portfolio strategist at Natixis Investment Managers, says that the market's ability to keep running depends on the "up and to the right" trend continuing, and he expects that to continue even if the slope of the line gets flatter. There's a difference, Jana ...  Show more

Recommended Episodes

Navigating the Crisis
Motley Fool Hidden Gems Investing

New York and California order nearly all residents to stay home. The government pushes back the tax filing deadline. And the stock market  has another rough week. How should investors navigate the coronavirus crisis? Is it time to buy? Which industries should investors avoid? And ...  Show more

Market Volatility and How Successful People See the World
Motley Fool Hidden Gems Investing

Investors navigate market volatility as coronavirus concerns grow. Campbell Soup heats up. Costco delivers a strong 2nd quarter. JPMorgan Chase CEO Jamie Dimon recovers from emergency heart surgery. Andy Cross, Ron Gross, and Jason Moser analyze those stories and the latest news ...  Show more

Live from the Compound (from Long Island)
The Compound and Friends

Michael Batnick and Downtown Josh Brown discuss all of the recent market volatility from the COVID-19 situation, including some takes on stock buybacks, what 13Fs might look like, the 10 stocks that have raised their dividends for 50 years straight, the overall damage so far and ...  Show more

Discussing 0DTE, CTAs, VIX: All Options Considered
FICC Focus

The scenario of an extreme market impact from zero days to expiration options may be overstated and Commodity Trading Advisors' positive beta to equity may be a near-term headwind for SPX. In this edition of the All Options Considered podcast on volatility, BI's Chief Global Deri ...  Show more