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Buy Hold Sell

Buy Hold Sell

282 episodes — Page 1 of 6

AI Buyouts Are Here?! RAD Intel CEO Reveals the Future of Business & Marketing

Is Artificial Intelligence about to replace traditional private equity—and reshape how companies grow? On this episode of Buy Hold Sell, we sit down with Jeremy Barnett, CEO of RAD Intel, to break down one of the most disruptive ideas in business today: 👉 AIBO (Artificial Intelligence Buyouts) This isn’t theory—this is already being deployed across Fortune 1000 companies. 💥 In this episode: • Why RAD Intel repositioned as a holding company • How AI is becoming the decision layer BEFORE capital is deployed • What “Artificial Intelligence Buyouts” mean for investors and operators • Why data—not capital—is becoming the most valuable asset • The biggest bottleneck in AI adoption (hint: it’s NOT technology) • How platforms like TikTok, Reddit, and Google are shaping AI-driven strategy • Why AI won’t fix bad businesses—but will amplify great ones Jeremy also explains how RAD Intel helps brands predict outcomes before spending $100K+ on campaigns, and why companies that don’t adapt risk falling behind—fast. 👉 If you care about AI, investing, marketing, or the future of business, this is a must-watch conversation. 🎥 Watch now on Biz Talk Today TV 📡 Available across streaming and podcast platforms 🔗 https://biztalktodaytv.com 📧 [email protected] #AI #ArtificialIntelligence #MachineLearning #Investing #PrivateEquity #Marketing #TechStocks #Entrepreneurship #Startups #DigitalMarketing #WallStreet #Innovation 📢 Disclaimer: The views and opinions expressed on this program are those of the hosts and guests and do not necessarily reflect the official policy or position of CrossCheck Media Inc., Biz Talk Today TV (BTT), or their affiliated entities and distribution partners. Content produced by CrossCheck Media across video, audio, and digital platforms is provided for informational and educational purposes only. Nothing presented should be construed as financial, investment, legal, tax, or gambling advice, nor as a recommendation to buy or sell any security, asset, wager, or strategy. All investments and wagers involve risk, including the possible loss of principal or money placed on a bet. Past performance and statistical analysis are not indicative of future results. Viewers and readers are solely responsible for their financial and wagering decisions and should conduct their own due diligence and consult with qualified professionals where appropriate. Sports betting commentary is for informational and entertainment purposes only. Participants must comply with applicable laws and age requirements in their jurisdiction.

Mar 31, 202628 min

Rhys Williams on AI, Funding Frustrations & Bull Market Lessons

On this insightful episode of Buy Hold Sell, co-hosts ⁠⁠⁠Todd M. Schoenberger⁠⁠⁠ and ⁠⁠⁠Tobin Smith⁠⁠⁠ are joined by ⁠⁠⁠Rhys Williams, CFA⁠⁠⁠, Chief Strategist and Portfolio Manager at ⁠⁠⁠Wayve Capital⁠⁠⁠ just outside Philadelphia. Rhys compares today’s fundraising landscape to the dot-com era—recalling the 1995 Pets.com collapse—shares his bullish outlook on the AI-led market rally, and explains why holding cash reserves is vital amid possible corrections. They dive deep into hot topics: tariffs’ impact on inflation, Nvidia’s growth driven by global AI demand, Tesla’s stock volatility, and the promise (and uncertainty) of stablecoins and fintech rewards strategies. Rhys also highlights Wayve’s investment focus on smaller innovation-driven companies, and Tobin introduces Versus AI’s “Genius”, a next-gen data management tool reshaping investment analysis. 🎯 Gain valuable insights into market behavior, funding cycles, and cutting-edge investment technology. 🔔 ⁠⁠⁠Subscribe to CrossCheck Media⁠⁠⁠ and hit the bell to catch every episode of Buy Hold Sell. 📧 For sponsorship or advertising opportunities, email: [email protected] 🏷️#RhysWilliams #WayveCapital #BuyHoldSell #ToddSchoenberger #TobinSmith #AIMarket #Fundraising2025 #Nvidia #AIInvesting #Tariffs #Stablecoins #InvestmentStrategy #VersusAI #InnovationStocks #CrossCheckMedia #BizTalkTodayTV #BTT #Investing #stockmarket #WallStreet #News #Media #Business #Finance #Subscribe

Jul 6, 202529 min

Rhys Williams on AI, Funding Frustrations & Bull Market Lessons

On this insightful episode of Buy Hold Sell, co-hosts Todd M. Schoenberger and Tobin Smith are joined by Rhys Williams, CFA, Chief Strategist and Portfolio Manager at Wayve Capital just outside Philadelphia. Rhys compares today’s fundraising landscape to the dot-com era—recalling the 1995 Pets.com collapse—shares his bullish outlook on the AI-led market rally, and explains why holding cash reserves is vital amid possible corrections. They dive deep into hot topics: tariffs’ impact on inflation, Nvidia’s growth driven by global AI demand, Tesla’s stock volatility, and the promise (and uncertainty) of stablecoins and fintech rewards strategies. Rhys also highlights Wayve’s investment focus on smaller innovation-driven companies, and Tobin introduces Versus AI’s “Genius”, a next-gen data management tool reshaping investment analysis. 🎯 Gain valuable insights into market behavior, funding cycles, and cutting-edge investment technology. 🔔 Subscribe to CrossCheck Media and hit the bell to catch every episode of Buy Hold Sell. 📧 For sponsorship or advertising opportunities, email: [email protected] 🏷️#RhysWilliams #WayveCapital #BuyHoldSell #ToddSchoenberger #TobinSmith #AIMarket #Fundraising2025 #Nvidia #AIInvesting #Tariffs #Stablecoins #InvestmentStrategy #VersusAI #InnovationStocks #CrossCheckMedia #BizTalkTodayTV #BTT #Investing #stockmarket #WallStreet #News #Media #Business #Finance #Subscribe

Jul 5, 202529 min

Fernando Valle on Oil Crash, A.I. Energy, Strait of Hormuz & Cease‑Fire

Fernando Valle on Oil Crash, A.I. Energy, Strait of Hormuz & Cease‑Fire In this timely episode of Buy Hold Sell, Hedgeye Energy Head ⁠⁠⁠Fernando Valle, CFA⁠⁠⁠, joins hosts ⁠⁠⁠Todd M. Schoenberger⁠⁠⁠ and ⁠⁠⁠Tobin Smith⁠⁠⁠ to analyze a 7% plunge in oil prices and the transformative role of AI in energy job creation. He offers a geopolitical update: the recent Israel–Iran cease‑fire agreement has driven oil futures lower and pushed markets back to pre-conflict levels. Valle explores the Strait of Hormuz risk, Iran’s military capacity, and explains why disruptions could prompt inflation at $80 or deflation at $100. He also discusses the role of natural gas, small modular reactors (SMRs), and the near‑term energy transition amid regulatory hurdles. ➡️ Subscribe and tap the bell for every episode of Buy Hold Sell. 📲 Follow ⁠⁠⁠CrossCheck Media⁠⁠⁠ across LinkedIn, Twitter/X, Instagram, TikTok & Facebook for market insights. 📧 Interested in advertising on this show or other CrossCheck Media programs distributed by Biz Talk Today TV (BTT)? Email [email protected] ⁠⁠⁠#FernandoValle⁠⁠⁠ ⁠⁠⁠#OilMarkets⁠⁠⁠ ⁠⁠⁠#StraitOfHormuz⁠⁠⁠ ⁠⁠⁠#EnergyGeopolitics⁠⁠⁠ ⁠⁠⁠#AIinEnergy⁠⁠⁠ ⁠⁠⁠#IsraelIranCeasefire⁠⁠⁠ ⁠⁠⁠#OilCrash2025⁠⁠⁠ ⁠⁠⁠#NaturalGas⁠⁠⁠ ⁠⁠⁠#SMRs⁠⁠⁠ ⁠⁠⁠#BuyHoldSell⁠⁠⁠ ⁠⁠⁠#ToddSchoenberger⁠⁠⁠ ⁠⁠⁠#TobinSmith⁠⁠⁠ ⁠⁠⁠#CrossCheckMedia⁠⁠⁠ ⁠⁠⁠#BTT⁠⁠⁠ ⁠⁠⁠#BizTalkTodayTV⁠⁠⁠ ⁠⁠⁠#Oil⁠⁠⁠ ⁠⁠⁠#Energy⁠⁠⁠ ⁠⁠⁠#Investing⁠⁠⁠ ⁠⁠⁠#StockMarket⁠⁠⁠ ⁠⁠⁠#News⁠⁠⁠ ⁠⁠⁠#Media⁠

Jun 28, 202529 min

Fernando Valle on Oil Crash, A.I. Energy, Strait of Hormuz & Cease‑Fire

Fernando Valle on Oil Crash, A.I. Energy, Strait of Hormuz & Cease‑Fire In this timely episode of Buy Hold Sell, Hedgeye Energy Head ⁠⁠Fernando Valle, CFA⁠⁠, joins hosts ⁠⁠Todd M. Schoenberger⁠⁠ and ⁠⁠Tobin Smith⁠⁠ to analyze a 7% plunge in oil prices and the transformative role of AI in energy job creation. He offers a geopolitical update: the recent Israel–Iran cease‑fire agreement has driven oil futures lower and pushed markets back to pre-conflict levels. Valle explores the Strait of Hormuz risk, Iran’s military capacity, and explains why disruptions could prompt inflation at $80 or deflation at $100. He also discusses the role of natural gas, small modular reactors (SMRs), and the near‑term energy transition amid regulatory hurdles. ➡️ Subscribe and tap the bell for every episode of Buy Hold Sell. 📲 Follow ⁠⁠CrossCheck Media⁠⁠ across LinkedIn, Twitter/X, Instagram, TikTok & Facebook for market insights. 📧 Interested in advertising on this show or other CrossCheck Media programs distributed by Biz Talk Today TV (BTT)? Email [email protected] ⁠⁠#FernandoValle⁠⁠ ⁠⁠#OilMarkets⁠⁠ ⁠⁠#StraitOfHormuz⁠⁠ ⁠⁠#EnergyGeopolitics⁠⁠ ⁠⁠#AIinEnergy⁠⁠ ⁠⁠#IsraelIranCeasefire⁠⁠ ⁠⁠#OilCrash2025⁠⁠ ⁠⁠#NaturalGas⁠⁠ ⁠⁠#SMRs⁠⁠ ⁠⁠#BuyHoldSell⁠⁠ ⁠⁠#ToddSchoenberger⁠⁠ ⁠⁠#TobinSmith⁠⁠ ⁠⁠#CrossCheckMedia⁠⁠ ⁠⁠#BTT⁠⁠ ⁠⁠#BizTalkTodayTV⁠⁠ ⁠⁠#Oil⁠⁠ ⁠⁠#Energy⁠⁠ ⁠⁠#Investing⁠⁠ ⁠⁠#StockMarket⁠⁠ ⁠⁠#News⁠⁠ ⁠⁠#Media⁠

Jun 28, 202529 min

Why the U.S. Didn’t Bomb Kharg Island | Fernando Valle on Oil Shock Risk

In this explosive clip from Buy Hold Sell, ⁠Fernando Valle, CFA⁠, Head of Energy at ⁠Hedgeye Risk Management⁠, reveals the critical importance of Kharg Island—Iran’s main oil export terminal responsible for over 1.3 million barrels per day. Valle explains why bombing Kharg would be a point of no return, potentially triggering Iran to shut down the Strait of Hormuz, and why the U.S. and Israel have avoided that move… so far. With only 1.5% of global oil coming from Iran, Fernando warns that a direct hit could lead to double-digit oil price spikes and the collapse of the Iranian state, not just its government. 🎥 Watch the full episode of Buy Hold Sell: ⁠Fernando Valle on Oil Crash, AI Energy, Strait of Hormuz & Cease‑Fire⁠ 📧 Want to advertise with CrossCheck Media or Biz Talk Today TV? Email: [email protected] 🏷️ ⁠#FernandoValle⁠ ⁠#KhargIsland⁠ ⁠#OilPrices⁠ ⁠#StraitOfHormuz⁠ ⁠#IranOil⁠ ⁠#GeopoliticalRisk⁠ ⁠#BuyHoldSell⁠ ⁠#Hedgeye⁠ ⁠#EnergyMarkets⁠ ⁠#MiddleEastTensions⁠ ⁠#CrossCheckMedia⁠ ⁠#BTT⁠ ⁠#OilShock⁠ ⁠#GlobalEnergyCrisis⁠ ⁠#TobinSmith⁠ ⁠#ToddSchoenberger⁠ ⁠#BizTalkTodayTV⁠ ⁠#ToddMSchoenberger⁠ ⁠#Oil⁠ ⁠#Iran⁠ ⁠#Israel⁠ ⁠#Investing⁠ ⁠#StockMarket⁠Show less

Jun 28, 20251 min

Maria Jelescu Dreyfus on Long-Short Strategies, Natural Gas, LNG, and the Future of Energy Investing

In this must-watch episode of Buy Hold Sell, Wall Street veterans ⁠⁠Tobin Smith⁠⁠ and ⁠⁠Todd M. Schoenberger⁠⁠ sit down with ⁠⁠Maria Jelescu Dreyfus⁠⁠, Founder, CEO, and CIO of ⁠⁠Ardinall Investment Management⁠⁠ — a private investment firm focused on long-short strategies in public markets and the global energy transition. Maria shares her unique perspective shaped by her leadership at ⁠⁠Goldman Sachs⁠⁠, board experience at ⁠⁠ExxonMobil⁠⁠ and ⁠⁠Pioneer Natural Resources⁠⁠, and deep involvement in energy policy, infrastructure, and ESG investing. 🔍 Episode Highlights: 📊 Energy Investment Strategy – Maria explains how Ardinall approaches long-short equity in the evolving energy landscape. 💡 Natural Gas & Power Infrastructure – Why natural gas remains critical to meet rising U.S. electricity demands, especially for data centers and industrial growth. 🚢 LNG Exports & Geopolitics – How the U.S. is leveraging its low-carbon, low-cost natural gas to compete in Europe and Asia. 🏗️ Permitting & Midstream Bottlenecks – The infrastructure challenges delaying new pipelines and gas transport systems. ☢️ Small Modular Reactors (SMRs) – Can SMRs drive zero-carbon electricity? Maria shares a realist’s take on nuclear innovation. 🌐 Global Trade & Energy Security – The implications of tariffs, energy diversification in India, and U.S. competitiveness in global energy markets. 👤 About Maria Jelescu Dreyfus: Maria is the founder of Ardinall Investment Management, a New York-based long/short hedge fund serving accredited investors. She brings over two decades of experience in energy, sustainability, and finance. She sits on the boards of ExxonMobil, ⁠⁠Cadiz Inc.⁠⁠, and ⁠⁠SLB (Schlumberger)⁠⁠, and is a recognized voice in sustainable finance and policy. 📺 Watch the full episode now on the ⁠⁠Biz Talk Today TV⁠⁠ network or the ⁠⁠CrossCheck Media YouTube Channel⁠⁠. ✅ Don't forget to subscribe for more expert-level market insights. 📢 Advertising Opportunities: Want to promote your brand on Buy Hold Sell or other top finance programs produced by CrossCheck Media and distributed by Biz Talk Today TV? 📩 Contact: [email protected] 🔖 ⁠⁠#BuyHoldSell⁠⁠ ⁠⁠#MariaJelescuDreyfus⁠⁠ ⁠⁠#Ardinall⁠⁠ ⁠⁠#EnergyInvesting⁠⁠ ⁠⁠#NaturalGas⁠⁠ ⁠⁠#LNG⁠⁠ ⁠⁠#LongShortStrategy⁠⁠ ⁠⁠#CleanEnergy⁠⁠ ⁠⁠#SMR⁠⁠ ⁠⁠#GoldmanSachs⁠⁠ ⁠⁠#ExxonMobil⁠⁠ ⁠⁠#ESGInvesting⁠⁠ ⁠⁠#PowerInfrastructure⁠⁠ ⁠⁠#USelections2024⁠⁠ ⁠⁠#Geopolitics⁠⁠ ⁠⁠#USExports⁠⁠ ⁠⁠#FinancePodcast⁠⁠ ⁠⁠#MarketAnalysis⁠⁠ ⁠⁠#WallStreet⁠⁠ ⁠⁠#MidstreamEnergy⁠⁠ ⁠⁠#SustainableInvesting⁠⁠ ⁠⁠#CrossCheckMedia⁠⁠ ⁠⁠#BizTalkTodayTV⁠⁠ ⁠⁠#TobinSmith⁠⁠ ⁠⁠#ToddSchoenberger⁠⁠ ⁠⁠#ToddMSchoenberger⁠⁠ ⁠⁠#BTT⁠⁠ ⁠⁠#Investing⁠⁠ ⁠⁠#News⁠⁠ ⁠⁠#Media⁠⁠ ⁠⁠#WallStreet⁠

Jun 23, 202530 min

Maria Jelescu Dreyfus on Long-Short Strategies, Natural Gas, LNG, and the Future of Energy Investing

In this must-watch episode of Buy Hold Sell, Wall Street veterans ⁠Tobin Smith⁠ and ⁠Todd M. Schoenberger⁠ sit down with ⁠Maria Jelescu Dreyfus⁠, Founder, CEO, and CIO of ⁠Ardinall Investment Management⁠ — a private investment firm focused on long-short strategies in public markets and the global energy transition. Maria shares her unique perspective shaped by her leadership at ⁠Goldman Sachs⁠, board experience at ⁠ExxonMobil⁠ and ⁠Pioneer Natural Resources⁠, and deep involvement in energy policy, infrastructure, and ESG investing. 🔍 Episode Highlights: 📊 Energy Investment Strategy – Maria explains how Ardinall approaches long-short equity in the evolving energy landscape. 💡 Natural Gas & Power Infrastructure – Why natural gas remains critical to meet rising U.S. electricity demands, especially for data centers and industrial growth. 🚢 LNG Exports & Geopolitics – How the U.S. is leveraging its low-carbon, low-cost natural gas to compete in Europe and Asia. 🏗️ Permitting & Midstream Bottlenecks – The infrastructure challenges delaying new pipelines and gas transport systems. ☢️ Small Modular Reactors (SMRs) – Can SMRs drive zero-carbon electricity? Maria shares a realist’s take on nuclear innovation. 🌐 Global Trade & Energy Security – The implications of tariffs, energy diversification in India, and U.S. competitiveness in global energy markets. 👤 About Maria Jelescu Dreyfus: Maria is the founder of Ardinall Investment Management, a New York-based long/short hedge fund serving accredited investors. She brings over two decades of experience in energy, sustainability, and finance. She sits on the boards of ExxonMobil, ⁠Cadiz Inc.⁠, and ⁠SLB (Schlumberger)⁠, and is a recognized voice in sustainable finance and policy. 📺 Watch the full episode now on the ⁠Biz Talk Today TV⁠ network or the ⁠CrossCheck Media YouTube Channel⁠. ✅ Don't forget to subscribe for more expert-level market insights. 📢 Advertising Opportunities: Want to promote your brand on Buy Hold Sell or other top finance programs produced by CrossCheck Media and distributed by Biz Talk Today TV? 📩 Contact: [email protected] 🔖 ⁠#BuyHoldSell⁠ ⁠#MariaJelescuDreyfus⁠ ⁠#Ardinall⁠ ⁠#EnergyInvesting⁠ ⁠#NaturalGas⁠ ⁠#LNG⁠ ⁠#LongShortStrategy⁠ ⁠#CleanEnergy⁠ ⁠#SMR⁠ ⁠#GoldmanSachs⁠ ⁠#ExxonMobil⁠ ⁠#ESGInvesting⁠ ⁠#PowerInfrastructure⁠ ⁠#USelections2024⁠ ⁠#Geopolitics⁠ ⁠#USExports⁠ ⁠#FinancePodcast⁠ ⁠#MarketAnalysis⁠ ⁠#WallStreet⁠ ⁠#MidstreamEnergy⁠ ⁠#SustainableInvesting⁠ ⁠#CrossCheckMedia⁠ ⁠#BizTalkTodayTV⁠ ⁠#TobinSmith⁠ ⁠#ToddSchoenberger⁠ ⁠#ToddMSchoenberger⁠ ⁠#BTT⁠ ⁠#Investing⁠ ⁠#News⁠ ⁠#Media⁠ ⁠#WallStreet

Jun 23, 202530 min

Buy Hold Sell: Jed Ellerbroek (Argent Capital) on ASICs, AI Infrastructure & New ETF Strategy

Join ⁠Tobin Smith⁠ (⁠TransformityResearch.com⁠ CIO) and ⁠Todd M. Schoenberger⁠ (CEO, ⁠CrossCheck Media⁠) as they welcome ⁠Jed Ellerbroek⁠, CFA, Portfolio Manager at ⁠Argent Capital Management⁠ in St. Louis, MO. In this insightful episode: 🎯Jed discusses the tech mega-trend of in-house ASIC development, aimed at reducing reliance on NVIDIA. 🎯Tobin highlights his bullish stance on Micron memory chips, while Jed praises Broadcom’s commanding position. 🎯Jed shares his concentrated, low-turnover equity strategy and his selection process—from the largest US companies down to a select, “enduring businesses” portfolio. 🎯The trio dives into AI infrastructure, naming Microsoft, Google, and Amazon—Argent’s top holdings—and noting growth driven by cloud adoption. 🎯Cybersecurity gets attention too, with Fortinet lauded for strong management and resilience. 🎯Jed explains their underweight position in Apple, citing a need for more AI-driven products, and shares how software hiring trends are shifting towards experienced coders. 🎯Market dynamics, from consumer spending to political policy, frame the backdrop for this episode. 🎯Tobin shares market-crisis anecdotes, emphasizing the power of imagination in portfolio strategy. 🎯Jed announces the launch of an ETF version of his strategy, and the hosts discuss the growing influence of retail investors. Guest Bio: Jed Ellerbroek, CFA, brings 20 years of investment experience to Argent’s Large-Cap strategy. A former PNC analyst turned portfolio manager since 2020, he's built a reputation on conviction-driven investing. 📌 Perfect for investors interested in technology, AI, and tactical equity management. #BuyHoldSell #JedEllerbroek #ArgentCapital #TobinSmith #ToddSchoenberger #AIInfrastructure #ASICchips #NVIDIA #Micron #Broadcom #AmazonStock #Microsoft #Google #Fortinet #Apple #ETFlaunch #TechInvesting #WallStreet #EquityStrategy #Cybersecurity #StockMarket #BTT #BizTalkTodayTV #CrossCheckMedia #ToddMSchoenberger #Investing #Stocks #Retirement #media #news

Jun 13, 202531 min

Buy Hold Sell: Jed Ellerbroek (Argent Capital) on ASICs, AI Infrastructure & New ETF Strategy

Join ⁠⁠Tobin Smith⁠⁠ (⁠⁠TransformityResearch.com⁠⁠ CIO) and ⁠⁠Todd M. Schoenberger⁠⁠ (CEO, ⁠⁠CrossCheck Media⁠⁠) as they welcome ⁠⁠Jed Ellerbroek⁠⁠, CFA, Portfolio Manager at ⁠⁠Argent Capital Management⁠⁠ in St. Louis, MO. In this insightful episode: 🎯Jed discusses the tech mega-trend of in-house ASIC development, aimed at reducing reliance on NVIDIA. 🎯Tobin highlights his bullish stance on Micron memory chips, while Jed praises Broadcom’s commanding position. 🎯Jed shares his concentrated, low-turnover equity strategy and his selection process—from the largest US companies down to a select, “enduring businesses” portfolio. 🎯The trio dives into AI infrastructure, naming Microsoft, Google, and Amazon—Argent’s top holdings—and noting growth driven by cloud adoption. 🎯Cybersecurity gets attention too, with Fortinet lauded for strong management and resilience. 🎯Jed explains their underweight position in Apple, citing a need for more AI-driven products, and shares how software hiring trends are shifting towards experienced coders. 🎯Market dynamics, from consumer spending to political policy, frame the backdrop for this episode. 🎯Tobin shares market-crisis anecdotes, emphasizing the power of imagination in portfolio strategy. 🎯Jed announces the launch of an ETF version of his strategy, and the hosts discuss the growing influence of retail investors. Guest Bio: Jed Ellerbroek, CFA, brings 20 years of investment experience to Argent’s Large-Cap strategy. A former PNC analyst turned portfolio manager since 2020, he's built a reputation on conviction-driven investing. 📌 Perfect for investors interested in technology, AI, and tactical equity management. #BuyHoldSell #JedEllerbroek #ArgentCapital #TobinSmith #ToddSchoenberger #AIInfrastructure #ASICchips #NVIDIA #Micron #Broadcom #AmazonStock #Microsoft #Google #Fortinet #Apple #ETFlaunch #TechInvesting #WallStreet #EquityStrategy #Cybersecurity #StockMarket #BTT #BizTalkTodayTV #CrossCheckMedia #ToddMSchoenberger #Investing #Stocks #Retirement #media #news

Jun 12, 202530 min

From Pit to Portfolio: Danny Riley on Merc Rivalries, 1987 Crash & Crypto | WealthWise

In this must-watch episode of WealthWise, host ⁠⁠⁠Jeffrey Hirsch⁠⁠⁠ welcomes ⁠⁠⁠Danny Riley⁠⁠⁠, a legendary figure in trading and CEO of ⁠⁠⁠MrTopStep.com⁠⁠⁠, to discuss his transformative path from floor runner to institutional innovator. Highlights include: 👉Early career: Starting in 1979 as a runner on the CBOT grain floor, advancing to the bond room, and eventually building the largest‑volume S&P futures desk on the CME Merc pit. 👉Pit rivalries: Insights into the cultural clash between the Merc and CBOT, and navigating the competitive, often shady practices like front‑running. 👉Market crises: First‑hand account of executing massive sell orders during the 1987 crash, exploring how liquidity dried up and drawing parallels to the 2008 financial meltdown. 👉Modern markets: Discussion on today's price-volume disconnect, geopolitical risks affecting the U.S. dollar, and where hidden risks may lie. 👉Crypto & retirement: Riley advocates for including cryptocurrency in long-term portfolios and underscores the importance of mental resilience in high-stress trading environments. 👉New venture: Introducing Pitbull Trader, a next-gen prop firm launching June 2, 2025, aimed at empowering traders with education, funding, and institutional-grade tools. 👉Tech edge: How Riley leverages NYSE imbalance data to identify late-day market trends. This episode is essential for traders at every level—whether you trade futures, crypto, or equities—delivering timeless wisdom and cutting-edge perspectives. 📺 Listen to the full episode now! 🔔 ⁠⁠⁠Subscribe to CrossCheck Media on YouTube⁠⁠⁠ for more expert interviews and market analysis. ⁠⁠⁠#WealthWise⁠⁠⁠ ⁠⁠⁠#DannyRiley⁠⁠⁠ ⁠⁠⁠#MrTopStep⁠⁠⁠ ⁠⁠⁠#PitbullTrader⁠⁠⁠ ⁠⁠⁠#FuturesTrading⁠⁠⁠ ⁠⁠⁠#CME⁠⁠⁠ ⁠⁠⁠#MercPit⁠⁠⁠ ⁠⁠⁠#MarketCrash⁠⁠⁠ ⁠⁠⁠#CryptoInvesting⁠⁠⁠ ⁠⁠⁠#TradingPsychology⁠⁠⁠ ⁠⁠⁠#SPEquities⁠⁠⁠ ⁠⁠⁠#NYSEImbalance⁠⁠⁠ ⁠⁠⁠#JeffreyHirsch⁠⁠⁠ ⁠⁠⁠#CrossCheckMedia⁠⁠⁠ ⁠⁠⁠#TradingHistory⁠⁠⁠ ⁠⁠⁠#AlternativeInvestments⁠⁠⁠ ⁠⁠⁠#BTT⁠⁠⁠ ⁠⁠⁠#BizTalkTodayTV⁠⁠⁠ ⁠⁠⁠#News⁠⁠⁠ ⁠⁠⁠#Investing⁠⁠⁠ ⁠⁠⁠#Trading⁠⁠⁠ ⁠⁠⁠#WallStreet⁠⁠⁠ ⁠⁠⁠#Chicago

Jun 10, 20251h 20m

From Pit to Portfolio: Danny Riley on Merc Rivalries, 1987 Crash & Crypto | WealthWise

In this must-watch episode of WealthWise, host ⁠⁠Jeffrey Hirsch⁠⁠ welcomes ⁠⁠Danny Riley⁠⁠, a legendary figure in trading and CEO of ⁠⁠MrTopStep.com⁠⁠, to discuss his transformative path from floor runner to institutional innovator. Highlights include: 👉Early career: Starting in 1979 as a runner on the CBOT grain floor, advancing to the bond room, and eventually building the largest‑volume S&P futures desk on the CME Merc pit. 👉Pit rivalries: Insights into the cultural clash between the Merc and CBOT, and navigating the competitive, often shady practices like front‑running. 👉Market crises: First‑hand account of executing massive sell orders during the 1987 crash, exploring how liquidity dried up and drawing parallels to the 2008 financial meltdown. 👉Modern markets: Discussion on today's price-volume disconnect, geopolitical risks affecting the U.S. dollar, and where hidden risks may lie. 👉Crypto & retirement: Riley advocates for including cryptocurrency in long-term portfolios and underscores the importance of mental resilience in high-stress trading environments. 👉New venture: Introducing Pitbull Trader, a next-gen prop firm launching June 2, 2025, aimed at empowering traders with education, funding, and institutional-grade tools. 👉Tech edge: How Riley leverages NYSE imbalance data to identify late-day market trends. This episode is essential for traders at every level—whether you trade futures, crypto, or equities—delivering timeless wisdom and cutting-edge perspectives. 📺 Listen to the full episode now! 🔔 ⁠⁠Subscribe to CrossCheck Media on YouTube⁠⁠ for more expert interviews and market analysis. ⁠⁠#WealthWise⁠⁠ ⁠⁠#DannyRiley⁠⁠ ⁠⁠#MrTopStep⁠⁠ ⁠⁠#PitbullTrader⁠⁠ ⁠⁠#FuturesTrading⁠⁠ ⁠⁠#CME⁠⁠ ⁠⁠#MercPit⁠⁠ ⁠⁠#MarketCrash⁠⁠ ⁠⁠#CryptoInvesting⁠⁠ ⁠⁠#TradingPsychology⁠⁠ ⁠⁠#SPEquities⁠⁠ ⁠⁠#NYSEImbalance⁠⁠ ⁠⁠#JeffreyHirsch⁠⁠ ⁠⁠#CrossCheckMedia⁠⁠ ⁠⁠#TradingHistory⁠⁠ ⁠⁠#AlternativeInvestments⁠⁠ ⁠⁠#BTT⁠⁠ ⁠⁠#BizTalkTodayTV⁠⁠ ⁠⁠#News⁠⁠ ⁠⁠#Investing⁠⁠ ⁠⁠#Trading⁠⁠ ⁠⁠#WallStreet⁠⁠ ⁠⁠#Chicago

Jun 10, 20251h 20m

Power Hour: Jessica Stone on U.S.-China Trade Talks, Tariff Turmoil & Biden's Autopen Controversy

In this timely episode of Power Hour, host ⁠⁠James Breslo⁠⁠ engages in a compelling conversation with renowned Washington, D.C. correspondent ⁠⁠Jessica Stone⁠⁠. With a distinguished career spanning major outlets like Voice of America, CGTN America, and Stansberry Research, Jessica brings her expertise to dissect the latest developments in global politics and economics. Key topics discussed: ➡️U.S.-China Trade Relations: Insights into the recent 90-minute call between President Trump and President Xi Jinping, marking a potential thaw in trade tensions and plans for renewed negotiations. ➡️Tariff Implications: Analysis of the Congressional Budget Office's report on the economic impact of proposed tariffs, highlighting potential revenue gains and consumer price effects. ➡️Biden's Autopen Usage: Discussion on the Heritage Foundation's findings regarding President Biden's use of an autopen for signing clemency warrants, raising questions about executive authority and authenticity. ➡️Trade Court Ruling: Examination of the recent U.S. Court of International Trade decision declaring most of Trump's tariffs illegal, exploring the legal and economic ramifications. Join us for an in-depth exploration of these pressing issues shaping the current political and economic landscape. 📺 Listen to the full episode now! 🔔 ⁠⁠Subscribe to CrossCheck Media on YouTube⁠⁠ for more insightful discussions. 🔍 #PowerHour #JessicaStone #JamesBreslo #USChinaTrade #TariffImpact #BidenAutopen #TradeCourtRuling #EconomicPolicy #PoliticalAnalysis #CrossCheckMedia #VoiceOfAmerica #CGTNAmerica #StansberryResearch #GlobalEconomy #TradeNegotiations #CongressionalBudgetOffice #HeritageFoundation #BTT #BizTalkTodayTV

Jun 8, 202528 min

Power Hour: Jessica Stone on U.S.-China Trade Talks, Tariff Turmoil & Biden's Autopen Controversy

In this timely episode of Power Hour, host ⁠James Breslo⁠ engages in a compelling conversation with renowned Washington, D.C. correspondent ⁠Jessica Stone⁠. With a distinguished career spanning major outlets like Voice of America, CGTN America, and Stansberry Research, Jessica brings her expertise to dissect the latest developments in global politics and economics. Key topics discussed: ➡️U.S.-China Trade Relations: Insights into the recent 90-minute call between President Trump and President Xi Jinping, marking a potential thaw in trade tensions and plans for renewed negotiations. ➡️Tariff Implications: Analysis of the Congressional Budget Office's report on the economic impact of proposed tariffs, highlighting potential revenue gains and consumer price effects. ➡️Biden's Autopen Usage: Discussion on the Heritage Foundation's findings regarding President Biden's use of an autopen for signing clemency warrants, raising questions about executive authority and authenticity. ➡️Trade Court Ruling: Examination of the recent U.S. Court of International Trade decision declaring most of Trump's tariffs illegal, exploring the legal and economic ramifications. Join us for an in-depth exploration of these pressing issues shaping the current political and economic landscape. 📺 Listen to the full episode now! 🔔 ⁠Subscribe to CrossCheck Media on YouTube⁠ for more insightful discussions. 🔍 #PowerHour #JessicaStone #JamesBreslo #USChinaTrade #TariffImpact #BidenAutopen #TradeCourtRuling #EconomicPolicy #PoliticalAnalysis #CrossCheckMedia #VoiceOfAmerica #CGTNAmerica #StansberryResearch #GlobalEconomy #TradeNegotiations #CongressionalBudgetOffice #HeritageFoundation #BTT #BizTalkTodayTV

Jun 8, 202527 min

Unlocking Alternative Credit: Jillian Murrish on Specialty Finance & Music Royalties | Buy Hold Sell

In this insightful episode of Buy Hold Sell, Wall Street veterans ⁠Tobin Smith⁠ and ⁠Todd M. Schoenberger⁠ sit down with ⁠Jillian Murrish⁠, Co-Founder and CEO of ⁠Pier Asset Management⁠, a private credit investment firm focused on niche deals in specialty finance based in Manhattan Beach, California. Jillian delves into her firm's strategic focus on specialty finance and alternative investments, emphasizing: ➡️Targeting underserved markets with deals under $25 million ➡️Prioritizing cash-flowing assets and senior secured credit facilities ➡️Acquiring loan portfolios from stressed sellers to capitalize on market volatility ➡️Exploring the potential of converting their music royalties fund into a publicly marketable structure The discussion also covers innovative investment avenues like music royalties and litigation finance, highlighting how Pier Asset Management navigates these complex sectors. Additionally, Tobin Smith shares insights into the N95 mask manufacturing industry, discussing his company's unique position as the only certified producer in the U.S., the significant government demand driving cash flow, and the competitive advantages of their fully robotic manufacturing plant. Don't miss this episode packed with expert analysis and unique perspectives on alternative investment strategies. 📺 Listen to the full episode now! 🔔 ⁠Subscribe to CrossCheck Media on YouTube⁠ for more expert insights and in-depth discussions. 🔍 YouTube SEO Optimization Tags: #BuyHoldSell #JillianMurrish #PierAssetManagement #SpecialtyFinance #AlternativeInvestments #MusicRoyalties #LitigationFinance #PrivateCredit #SeniorSecuredLoans #CashFlowInvesting #TobinSmith #ToddSchoenberger #N95Manufacturing #RoboticManufacturing #InvestmentStrategies #MarketVolatility #CrossCheckMedia #FinancialInsights #InvestmentPodcast #AlternativeAssets #BTT #BizTalkTodayTV 📢 Disclaimer: The views and opinions expressed in this episode are those of the guests and hosts and do not necessarily reflect the official policy or position of ⁠CrossCheck Media⁠ or ⁠Biz Talk Today TV⁠. All content is for informational purposes only and should not be construed as financial, legal, or investment advice. Viewers are encouraged to conduct their own due diligence and consult with a licensed professional before making any financial decisions. A buyer beware approach is always prudent. CrossCheck Media and Biz Talk Today TV disclaim any liability for financial loss or damages arising from the use of this content.

Jun 6, 202538 min

Unlocking Alternative Credit: Jillian Murrish on Specialty Finance & Music Royalties | Buy Hold Sell

In this insightful episode of Buy Hold Sell, Wall Street veterans Tobin Smith and Todd M. Schoenberger sit down with Jillian Murrish, Co-Founder and CEO of Pier Asset Management, a private credit investment firm focused on niche deals in specialty finance based in Manhattan Beach, California. Jillian delves into her firm's strategic focus on specialty finance and alternative investments, emphasizing: ➡️Targeting underserved markets with deals under $25 million ➡️Prioritizing cash-flowing assets and senior secured credit facilities ➡️Acquiring loan portfolios from stressed sellers to capitalize on market volatility ➡️Exploring the potential of converting their music royalties fund into a publicly marketable structure The discussion also covers innovative investment avenues like music royalties and litigation finance, highlighting how Pier Asset Management navigates these complex sectors. Additionally, Tobin Smith shares insights into the N95 mask manufacturing industry, discussing his company's unique position as the only certified producer in the U.S., the significant government demand driving cash flow, and the competitive advantages of their fully robotic manufacturing plant. Don't miss this episode packed with expert analysis and unique perspectives on alternative investment strategies. 📺 Listen to the full episode now! 🔔 Subscribe to CrossCheck Media on YouTube for more expert insights and in-depth discussions. 🔍 YouTube SEO Optimization Tags: #BuyHoldSell #JillianMurrish #PierAssetManagement #SpecialtyFinance #AlternativeInvestments #MusicRoyalties #LitigationFinance #PrivateCredit #SeniorSecuredLoans #CashFlowInvesting #TobinSmith #ToddSchoenberger #N95Manufacturing #RoboticManufacturing #InvestmentStrategies #MarketVolatility #CrossCheckMedia #FinancialInsights #InvestmentPodcast #AlternativeAssets #BTT #BizTalkTodayTV 📢 Disclaimer: The views and opinions expressed in this episode are those of the guests and hosts and do not necessarily reflect the official policy or position of CrossCheck Media or Biz Talk Today TV. All content is for informational purposes only and should not be construed as financial, legal, or investment advice. Viewers are encouraged to conduct their own due diligence and consult with a licensed professional before making any financial decisions. A buyer beware approach is always prudent. CrossCheck Media and Biz Talk Today TV disclaim any liability for financial loss or damages arising from the use of this content.

Jun 6, 202538 min

Mastering Market Momentum: Alex Spiroglou Unveils the MACD-V on WealthWise

Mastering Market Momentum: Alex Spiroglou Unveils the MACD-V on WealthWise In this masterclass edition of WealthWise with ⁠Jeffrey Hirsch⁠, we’re joined by ⁠Alex Spiroglou⁠, one of the most forward-thinking minds in modern technical analysis. As the creator of the MACD-V — a groundbreaking volatility-normalized momentum indicator — Alex brings a unique lens to understanding price action in today’s hyper-volatile financial markets. 📈 🚨*Why This Matters:* Traditional tools like MACD, RSI, and Stochastic Oscillators were never designed for today’s complex, data-saturated environment. Spiroglou’s MACD-V adapts to changing volatility regimes, allowing traders to interpret momentum in a far more meaningful and actionable way. 🧠 What You’ll Take Away From This Conversation: The evolution of Alex’s indicator from concept to execution—and why traditional momentum tools are outdated. How he combines macro trend analysis with systematic trading models to navigate multi-asset futures markets. A real-world framework for integrating quantitative indicators with discretionary overlays Why sentiment analysis, market internals, and multiple timeframes must all be part of the modern trader’s toolkit. A preview of his trading education platform, designed for traders who want more than just theory—featuring live trading demos, community Q\&A, and proprietary insights. LinkedIn: ⁠ / crosscheck-media-llc ⁠ Instagram: ⁠ / crosscheckmedia ⁠ Facebook: ⁠ / crosscheckmedia ⁠ 💼 Whether you're a seasoned trader looking for an edge, or an analyst trying to understand how top professionals structure their approach, this episode delivers real value, deep insights, and cutting-edge thought leadership. 🎥 Watch the full episode now: ⁠ • Market Signals & Red Flags: Jeffrey Hirsch... ⁠ 🔔 Subscribe to CrossCheck Media for elite-level investing & trading intelligence 📧 Visit: www.BizTalkTodayTV.com 💥 WealthWise is a CrossCheck Media production, executive produced by ⁠Todd M. Schoenberger⁠, and distributed by ⁠Biz Talk Today TV (BTT)⁠. 🔔 Subscribe now to stay ahead with weekly insights from Buy Hold Sell → ⁠ / @crosscheckmedia ⁠ 🔗 Website: ⁠https://crosscheckmanagement.com/⁠ 📧 Contact on Email: [email protected] 📱 Follow us for real-time updates: 🔍 SEO-Optimized Keywords (for better discoverability!) macd-v indicator explained, alex spiroglou trading insights, volatility based momentum indicator, systematic futures trading strategies, technical analysis for modern markets, how to trade with macd-v, trading education with live demos, macro trading with sentiment data, jeffrey hirsch stock trader’s almanac, spiroglou macd-v course preview, integrating macro with technicals, professional futures trading methods, cross asset market strategy, volatility adaptive indicators, proprietary trading frameworks, stock market trend forecasting 2025, multi-timeframe trading systems, advanced technical tools for traders, stock trading education 2025, live trading community learning 📢 Hashtags for Reach & Engagement ⁠#AlexSpiroglou⁠, ⁠#MACDV⁠, ⁠#TechnicalAnalysis⁠, ⁠#MomentumTrading⁠, ⁠#VolatilityIndicator⁠, ⁠#SystematicTrading⁠, ⁠#FuturesTrading⁠, ⁠#JeffreyHirsch⁠, ⁠#WealthWise⁠, ⁠#StockMarket2025⁠, ⁠#TradingEducation⁠, ⁠#CrossCheckMedia⁠, ⁠#BizTalkTodayTV⁠, ⁠#MarketInsights⁠, ⁠#MacroTrading⁠, ⁠#InvestmentStrategy⁠, ⁠#LiveTrading⁠, ⁠#TradingCommunity⁠, ⁠#ProTraders⁠, ⁠#TradingMasterclass⁠ ⁠#JeffreyHirsch⁠ ⁠#MACDV⁠ ⁠#TechnicalAnalysis⁠ ⁠#MomentumTrading⁠ ⁠#VolatilityNormalizedMomentum⁠ ⁠#SystematicTrading⁠ ⁠#StockMarketAnalysis⁠ ⁠#TradingEducation⁠ ⁠#MarketTrends⁠ ⁠#SP500⁠ ⁠#GoldTrading⁠ ⁠#MacroTrading⁠ ⁠#TradingIndicators⁠ ⁠#InvestmentStrategies⁠ ⁠#CrossCheckMedia⁠ ⁠#BTT⁠ ⁠#BizTalkTodayTV⁠ ⁠#ToddSchoenberger⁠ ⁠#ToddMSchoenberger⁠

Jun 4, 20251h 16m

Mastering Market Momentum: Alex Spiroglou Unveils the MACD-V on WealthWise

Mastering Market Momentum: Alex Spiroglou Unveils the MACD-V on WealthWise In this masterclass edition of WealthWise with Jeffrey Hirsch, we’re joined by Alex Spiroglou, one of the most forward-thinking minds in modern technical analysis. As the creator of the MACD-V — a groundbreaking volatility-normalized momentum indicator — Alex brings a unique lens to understanding price action in today’s hyper-volatile financial markets. 📈 🚨*Why This Matters:* Traditional tools like MACD, RSI, and Stochastic Oscillators were never designed for today’s complex, data-saturated environment. Spiroglou’s MACD-V adapts to changing volatility regimes, allowing traders to interpret momentum in a far more meaningful and actionable way. 🧠 What You’ll Take Away From This Conversation: The evolution of Alex’s indicator from concept to execution—and why traditional momentum tools are outdated. How he combines macro trend analysis with systematic trading models to navigate multi-asset futures markets. A real-world framework for integrating quantitative indicators with discretionary overlays Why sentiment analysis, market internals, and multiple timeframes must all be part of the modern trader’s toolkit. A preview of his trading education platform, designed for traders who want more than just theory—featuring live trading demos, community Q\&A, and proprietary insights. LinkedIn: / crosscheck-media-llc Instagram: / crosscheckmedia Facebook: / crosscheckmedia 💼 Whether you're a seasoned trader looking for an edge, or an analyst trying to understand how top professionals structure their approach, this episode delivers real value, deep insights, and cutting-edge thought leadership. 🎥 Watch the full episode now: • Market Signals & Red Flags: Jeffrey Hirsch... 🔔 Subscribe to CrossCheck Media for elite-level investing & trading intelligence 📧 Visit: www.BizTalkTodayTV.com 💥 WealthWise is a CrossCheck Media production, executive produced by Todd M. Schoenberger, and distributed by Biz Talk Today TV (BTT). 🔔 Subscribe now to stay ahead with weekly insights from Buy Hold Sell → / @crosscheckmedia 🔗 Website: https://crosscheckmanagement.com/ 📧 Contact on Email: [email protected] 📱 Follow us for real-time updates: 🔍 SEO-Optimized Keywords (for better discoverability!) macd-v indicator explained, alex spiroglou trading insights, volatility based momentum indicator, systematic futures trading strategies, technical analysis for modern markets, how to trade with macd-v, trading education with live demos, macro trading with sentiment data, jeffrey hirsch stock trader’s almanac, spiroglou macd-v course preview, integrating macro with technicals, professional futures trading methods, cross asset market strategy, volatility adaptive indicators, proprietary trading frameworks, stock market trend forecasting 2025, multi-timeframe trading systems, advanced technical tools for traders, stock trading education 2025, live trading community learning 📢 Hashtags for Reach & Engagement #AlexSpiroglou, #MACDV, #TechnicalAnalysis, #MomentumTrading, #VolatilityIndicator, #SystematicTrading, #FuturesTrading, #JeffreyHirsch, #WealthWise, #StockMarket2025, #TradingEducation, #CrossCheckMedia, #BizTalkTodayTV, #MarketInsights, #MacroTrading, #InvestmentStrategy, #LiveTrading, #TradingCommunity, #ProTraders, #TradingMasterclass #JeffreyHirsch #MACDV #TechnicalAnalysis #MomentumTrading #VolatilityNormalizedMomentum #SystematicTrading #StockMarketAnalysis #TradingEducation #MarketTrends #SP500 #GoldTrading #MacroTrading #TradingIndicators #InvestmentStrategies #CrossCheckMedia #BTT #BizTalkTodayTV #ToddSchoenberger #ToddMSchoenberger

Jun 4, 20251h 16m

Larry Williams Sounds the Alarm: The Deficit Dilemma for Stocks (VIDEO SHORT VERSION)

Legendary trader Larry Williams joins ⁠WealthWise with Jeffrey Hirsch⁠ to break down the uncomfortable truth about U.S. deficits, government cuts, and the long-term outlook for the stock market. In this clip, Larry delivers a sobering analysis: 📉 Large deficits = bullish stock rallies. 🧾 Cutbacks = less money in circulation. 🕰️ His cycles say the real trouble starts in 2026... and we could be in for a decade-long sideways market. 📺 Watch the full episode now to hear Larry’s long-term market forecast, political insights, and what every investor needs to prepare for: 👉 https://youtu.be/c6f-SSCaOhE?si=-Qyvn_BVq582BCgs 🔔 Don’t forget to subscribe to CrossCheck Media for more expert insights and market analysis! ⁠#LarryWilliams⁠ ⁠#WealthWise⁠ ⁠#JeffreyHirsch⁠ ⁠#StockMarket2025⁠ ⁠#DeficitSpending⁠ ⁠#MarketCycles⁠ ⁠#EconomicForecast⁠ ⁠#GovernmentCuts⁠ ⁠#InvestorInsights⁠ ⁠#MarketOutlook⁠ ⁠#TradingWisdom⁠ ⁠#FinanceShorts⁠ ⁠#BullMarket⁠ ⁠#BearMarketComing⁠ ⁠#WallStreet⁠ ⁠#CrossCheckMedia⁠ ⁠#BTT⁠ ⁠#BizTalkTodayTV⁠ #ToddSchoenberger #ToddMSchoenberger

Jun 1, 20252 min

Tobin Smith on the Bond Market’s “Nuclear Risk” — A Hidden Economic Time Bomb? (VIDEO SHORT VERSION)

💣 ⁠Tobin Smith⁠ on the Bond Market’s “Nuclear Risk” — A Hidden Economic Time Bomb? 💥 💣 “It feels like everybody's got nuclear bombs of bonds aimed at each other.” — Tobin Smith, CIO at ⁠TransformityResearch.com⁠, delivers a Blunt and Urgent Warning in this explosive clip from Buy Hold Sell, a ⁠CrossCheck Media production⁠. With \$2.3 trillion in new U.S. debt issuance and \$1.8 trillion in 10-year Treasuries rolling over at higher interest rates, Tobin breaks down the *looming threat to the bond market — a ticking time bomb few are talking about. 🌍 Foreign heavyweights are holding major pieces of the puzzle: 🇯🇵 Japan: 20% 🇨🇳 China: nearly 10% 🇬🇧 + 🇪🇺 UK & EU combined: 13% 📈 Even Warren Buffett reportedly owns 5% of U.S. Treasuries! 📉 If these global bondholders decide to offload their positions, the bond market could implode, causing: - A downward spiral in bond values - A spike in interest rates - A potential U.S. recession 🔗 Watch this MUST-SEE clip, then dive deeper with the Full Episode featuring Tom Bruce: 👉 ⁠https://youtu.be/Jf8\_XMS2JNA?si=vkKkX6vCl7fyQ8bw⁠ 📌 Subscribe to @CrossCheckMedia for more market-shaking insights from the sharpest minds on Wall Street. 🔔 Stay ahead of the curve. Prepare your portfolio. Don't get caught off guard. 🔗 Website:⁠ https://crosscheckmanagement.com/ ⁠ 📧 Contact on Email: [email protected] 📱 Follow us for real-time updates: - LinkedIn: https://www.linkedin.com/company/crosscheck-media-llc/ - Instagram: https://www.instagram.com/crosscheckmedia/ - Facebook: https://web.facebook.com/CrossCheckMedia 🔍 SEO-Optimized Keywords (for better discoverability!) us bond market collapse, tobin smith market warning, us debt crisis 2025, global bondholder risk, bond market crash forecast, japan us debt holdings, china us treasury holdings, warren buffett treasury strategy, us 10 year yield risk, fiscal policy debt warning, economic collapse signals, interest rate spike impact, foreign debt holders usa, treasury market instability, money mavericks clip, financial crisis prediction 2025, global economy slowdown, recession warning signs 2025, buy hold sell episode, crosscheck media finance 📢 Hashtags for Reach & Engagement ⁠#TobinSmith⁠, ⁠#BondMarketCrash⁠, ⁠#USDebtCrisis⁠, ⁠#BuyHoldSell⁠, ⁠#CrossCheckMedia⁠, ⁠#WarrenBuffett⁠, ⁠#MoneyMavericks⁠, ⁠#RecessionWarning⁠, ⁠#EconomicCollapse⁠, ⁠#Treasuries⁠, ⁠#JapanDebt⁠, ⁠#ChinaHoldings⁠, ⁠#FiscalCrisis⁠, ⁠#InterestRates⁠, ⁠#DebtBomb⁠, ⁠#GlobalEconomy⁠, ⁠#InvestSmart⁠, ⁠#TomBruce⁠, ⁠#MarketWarning⁠, ⁠#BizTalkTodayTV⁠ ⁠#TransformityResearch⁠ ⁠#BuyHoldSell⁠ ⁠#MoneyMavericks⁠ ⁠#CrossCheckMedia⁠ ⁠#USDebtCrisis⁠ ⁠#BondMarket⁠ ⁠#Treasuries⁠ ⁠#US10Year⁠ ⁠#WarrenBuffett⁠ ⁠#JapanDebtHoldings⁠ ⁠#ChinaDebtHoldings⁠ ⁠#FiscalPolicy⁠ ⁠#InterestRates⁠ ⁠#EconomicCollapse⁠ ⁠#RecessionWarning⁠ ⁠#MacroFinance⁠ ⁠#WallStreetVoices⁠ ⁠#MarketRisk⁠ ⁠#DebtBomb⁠ ⁠#BondMarketCrash⁠ ⁠#FinancialMarkets⁠ ⁠#GlobalEconomy⁠ ⁠#GeopoliticalRisk⁠ ⁠#InvestSmart⁠ ⁠#TomBruce⁠ ⁠#BizTalkTodayTV⁠ ⁠#YouTubeFinance⁠ ⁠#FinancialWarnings⁠ ⁠#BTT⁠ ⁠#BizTalkTodayTV⁠ ⁠#ToddSchoenberger⁠ ⁠#ToddMSchoenberger⁠

Jun 1, 20252 min

Sam Stovall Reveals the Smartest Post-Crash Investing Strategy | Buy Hold Sell (VIDEO SHORT VERSION)

🔥 Sam Stovall Reveals the Smartest Post-Crash Investing Strategy | Buy Hold Sell 🔍📈 In this must-watch clip from Buy Hold Sell: Special Report, ⁠Sam Stovall⁠, Chief Investment Strategist at ⁠CFRA Research⁠, analyzes whether the recent rally from the April 2025 lows is sustainable — or just another bear market bounce. Backed by historical data since 1990, Stovall breaks down why the worst-performing sectors often become the market's best comeback stories. 💹 🎯 Key Takeaways You Can't Miss: - Why post-correction rallies often favor “the dogs” of the last downturn🐶📊 - How to spot undervalued sectors poised for outsized gains - The top-performing sub-industries in previous recoveries - What this means for investors looking to buy the dip before the next surge 💬 Hosted by ⁠Todd M. Schoenberger⁠ and ⁠Tobin Smith⁠, this segment brings clarity, strategy, and seasoned insight to investors navigating today’s uncertain markets. 👉 Watch the full episode here: ⁠https://youtu.be/x4jSB1atQhI⁠ 🔔 Don’t forget to ⁠Subscribe to CrossCheck Media on YouTube⁠ for more expert market analysis and real-world investing tips. 🔗 Website: https://crosscheckmanagement.com/ 📧 Contact on Email: [email protected] 📱 Follow us for real-time updates: - LinkedIn: https://www.linkedin.com/company/crosscheck-media-llc/ - Instagram: https://www.instagram.com/crosscheckmedia/ - Facebook: https://web.facebook.com/CrossCheckMedia 🔍 SEO-Optimized Keywords (for better discoverability!) stock market rally analysis, post correction stock performance, best sectors after crash, worst performing sectors recovery, sam stovall investment strategy, cfra research stock tips, how to invest after market crash, market rally april 2025, sector rotation investing 2025, how to pick recovery stocks, buy low sell high strategy, stock market recovery tips, market crash rebound sectors, financial market insights 2025, investing in beaten down stocks, sp500 trends after dip, smart investing during volatility, economic recovery investing, stock market cycle patterns, top sub industries to invest in 📢 Hashtags for Reach & Engagement ⁠#SamStovall⁠, ⁠#BuyHoldSell⁠, ⁠#CFRAResearch⁠, ⁠#MarketRally2025⁠, ⁠#InvestSmart⁠, ⁠#SectorRotation⁠, ⁠#StockRecovery⁠, ⁠#WallStreetWatch⁠, ⁠#MarketInsights⁠, ⁠#CrossCheckMedia⁠, ⁠#ToddSchoenberger⁠, ⁠#TobinSmith⁠, ⁠#BizTalkTodayTV⁠, ⁠#BTT⁠, ⁠#PostCrashRally⁠, ⁠#BuyTheDip⁠, ⁠#Investing2025⁠, ⁠#FinancialMarkets⁠, ⁠#SP500⁠, ⁠#ReboundStocks⁠ ⁠#CFRAResearch⁠ ⁠#BuyHoldSell⁠ ⁠#StockMarketRally2025⁠ ⁠#WorstPerformingSectors⁠ ⁠#PostCrashInvesting⁠ ⁠#MarketRecoveryStrategy⁠ ⁠#SectorRotation⁠ ⁠#InvestmentTips2025⁠ ⁠#StockMarketInsights⁠ ⁠#CrossCheckMedia⁠ ⁠#TobinSmith⁠ ⁠#ToddSchoenberger⁠ ⁠#RecessionRecovery⁠ ⁠#GrowthStocksVsValueStocks⁠ ⁠#FinancialMarkets2025⁠ ⁠#MarketCrashStrategy⁠ ⁠#SP500Trends⁠ ⁠#BuyLowSellHigh⁠ ⁠#WallStreetInsights⁠ ⁠#BTT⁠ ⁠#BizTalkTodayTV⁠ ⁠#ToddMSchoenberger⁠

Jun 1, 20251 min

Bob Elliott on Democratizing Hedge Fund Strategies: Unlocking Macro Investing for All

In this insightful episode of Money Mavericks, host ⁠⁠Tobin Smith⁠⁠, CIO of ⁠⁠TransformityResearch.com⁠⁠, sits down with ⁠⁠Bob Elliott⁠⁠, CEO and CIO of ⁠⁠Unlimited Funds⁠⁠. Elliott shares his mission to democratize access to sophisticated hedge fund strategies through innovative ETFs like the Unlimited HFND Multi-Strategy Return Tracker and the newly launched HFGM Global Macro ETF. Drawing from his extensive experience at Bridgewater Associates, where he served on the Investment Committee and led Ray Dalio’s research team, Elliott discusses how Unlimited Funds leverages machine learning to replicate hedge fund returns without the traditional high fees. The conversation delves into the pitfalls of recency bias, the importance of diversified investment approaches, and the impact of macroeconomic factors on portfolio management. Don’t miss this engaging discussion on making institutional-grade investment strategies accessible to all investors. 👉 Listen to the full episode and subscribe to the ⁠⁠CrossCheck Media channel on YouTube⁠⁠ for more expert insights. 🔖 Optimization Tags: ⁠⁠#BobElliott⁠⁠ ⁠⁠#UnlimitedFunds⁠⁠ ⁠⁠#MoneyMavericks⁠⁠ ⁠⁠#TobinSmith⁠⁠ ⁠⁠#TransformityResearch⁠⁠ ⁠⁠#HedgeFundStrategies⁠⁠ ⁠⁠#MacroInvesting⁠⁠ ⁠⁠#HFND⁠⁠ ⁠⁠#HFGM⁠⁠ ⁠⁠#ETFs⁠⁠ ⁠⁠#InvestmentStrategies⁠⁠ ⁠⁠#MachineLearning⁠⁠ ⁠⁠#BridgewaterAssociates⁠⁠ ⁠⁠#FinancialEducation⁠⁠ ⁠⁠#CrossCheckMedia⁠⁠ ⁠⁠#InvestingInsights⁠⁠ ⁠⁠#DemocratizingFinance⁠⁠ ⁠⁠#AlternativeInvestments⁠⁠ ⁠⁠#GlobalMacro⁠⁠ ⁠⁠#PortfolioDiversification⁠

May 27, 202547 min

Bob Elliott on Democratizing Hedge Fund Strategies: Unlocking Macro Investing for All

In this insightful episode of Money Mavericks, host ⁠Tobin Smith⁠, CIO of ⁠TransformityResearch.com⁠, sits down with ⁠Bob Elliott⁠, CEO and CIO of ⁠Unlimited Funds⁠. Elliott shares his mission to democratize access to sophisticated hedge fund strategies through innovative ETFs like the Unlimited HFND Multi-Strategy Return Tracker and the newly launched HFGM Global Macro ETF. Drawing from his extensive experience at Bridgewater Associates, where he served on the Investment Committee and led Ray Dalio’s research team, Elliott discusses how Unlimited Funds leverages machine learning to replicate hedge fund returns without the traditional high fees. The conversation delves into the pitfalls of recency bias, the importance of diversified investment approaches, and the impact of macroeconomic factors on portfolio management. Don’t miss this engaging discussion on making institutional-grade investment strategies accessible to all investors. 👉 Listen to the full episode and subscribe to the ⁠CrossCheck Media channel on YouTube⁠ for more expert insights. 🔖 Optimization Tags: ⁠#BobElliott⁠ ⁠#UnlimitedFunds⁠ ⁠#MoneyMavericks⁠ ⁠#TobinSmith⁠ ⁠#TransformityResearch⁠ ⁠#HedgeFundStrategies⁠ ⁠#MacroInvesting⁠ ⁠#HFND⁠ ⁠#HFGM⁠ ⁠#ETFs⁠ ⁠#InvestmentStrategies⁠ ⁠#MachineLearning⁠ ⁠#BridgewaterAssociates⁠ ⁠#FinancialEducation⁠ ⁠#CrossCheckMedia⁠ ⁠#InvestingInsights⁠ ⁠#DemocratizingFinance⁠ ⁠#AlternativeInvestments⁠ ⁠#GlobalMacro⁠ ⁠#PortfolioDiversification

May 27, 202547 min

Is the US Economy Stronger Than It Looks? | Peter Boockvar Isn’t So Sure

In this insightful episode of WealthWise, host ⁠⁠Jeffrey Hirsch⁠⁠, Editor-in-Chief of the ⁠⁠Stock Trader's Almanac⁠⁠, engages with ⁠⁠Peter Boockvar⁠⁠, Chief Investment Officer at ⁠⁠Bleakley Financial Group⁠⁠, to delve into the evolving landscape of global investing. Peter shares his contrarian approach, emphasizing a strategic shift from large-cap tech stocks to value-oriented companies and international markets. He discusses the implications of changing capital flows as foreign investors reassess U.S. allocations amid geopolitical tensions. The conversation also explores: ~ The recent drop in the VIX below 18 and its significance for market recovery. ~ Seasonal market trends and potential Q3 weaknesses. ~ The role of gold and precious metals versus Bitcoin in current portfolios. ~ Insights into trade deficits and the impact of U.S. economic policies on global markets. Peter also reflects on his professional journey, including his experiences with farmland investments and his daily writings that provide ongoing market analysis. 📺 Watch the full episode on YouTube now: https://youtu.be/C-A7P2h7668?si=wwJ2XG4X-KICHwHP 🎧 Listen to the audio version on your favorite podcast platforms, including Apple Podcasts, Spotify, and iHeartRadio. 🔖 ⁠⁠#WealthWise⁠⁠ ⁠⁠#JeffreyHirsch⁠⁠ ⁠⁠#PeterBoockvar⁠⁠ ⁠⁠#BleakleyFinancialGroup⁠⁠ ⁠⁠#StockTradersAlmanac⁠⁠ ⁠⁠#ValueInvesting⁠⁠ ⁠⁠#GlobalMarkets⁠⁠ ⁠⁠#EconomicOutlook⁠⁠ ⁠⁠#VIX⁠⁠ ⁠⁠#MarketTrends⁠⁠ ⁠⁠#GoldInvesting⁠⁠ ⁠⁠#BitcoinAnalysis⁠⁠ ⁠⁠#TradeDeficits⁠⁠ ⁠⁠#InvestmentStrategy⁠⁠ ⁠⁠#FinancialInsights⁠⁠ ⁠⁠#PodcastEpisode⁠⁠ ⁠⁠#YouTubeFinance⁠⁠ ⁠⁠#MarketRecovery⁠⁠ ⁠⁠#SeasonalTrends⁠⁠ ⁠⁠#ContrarianInvesting⁠⁠ ⁠⁠#BTT⁠⁠ ⁠⁠#BizTalkTodayTV⁠⁠ ⁠⁠#CrossCheckMedia⁠⁠ ⁠⁠#ToddSchoenberger⁠⁠ ⁠⁠#ToddMSchoenberger⁠

May 20, 202547 min

Is the US Economy Stronger Than It Looks? | Peter Boockvar Isn’t So Sure

In this insightful episode of WealthWise, host ⁠Jeffrey Hirsch⁠, Editor-in-Chief of the ⁠Stock Trader's Almanac⁠, engages with ⁠Peter Boockvar⁠, Chief Investment Officer at ⁠Bleakley Financial Group⁠, to delve into the evolving landscape of global investing. Peter shares his contrarian approach, emphasizing a strategic shift from large-cap tech stocks to value-oriented companies and international markets. He discusses the implications of changing capital flows as foreign investors reassess U.S. allocations amid geopolitical tensions. The conversation also explores: ~ The recent drop in the VIX below 18 and its significance for market recovery. ~ Seasonal market trends and potential Q3 weaknesses. ~ The role of gold and precious metals versus Bitcoin in current portfolios. ~ Insights into trade deficits and the impact of U.S. economic policies on global markets. Peter also reflects on his professional journey, including his experiences with farmland investments and his daily writings that provide ongoing market analysis. 📺 Watch the full episode on YouTube now: https://youtu.be/C-A7P2h7668?si=wwJ2XG4X-KICHwHP 🎧 Listen to the audio version on your favorite podcast platforms, including Apple Podcasts, Spotify, and iHeartRadio. 🔖 ⁠#WealthWise⁠ ⁠#JeffreyHirsch⁠ ⁠#PeterBoockvar⁠ ⁠#BleakleyFinancialGroup⁠ ⁠#StockTradersAlmanac⁠ ⁠#ValueInvesting⁠ ⁠#GlobalMarkets⁠ ⁠#EconomicOutlook⁠ ⁠#VIX⁠ ⁠#MarketTrends⁠ ⁠#GoldInvesting⁠ ⁠#BitcoinAnalysis⁠ ⁠#TradeDeficits⁠ ⁠#InvestmentStrategy⁠ ⁠#FinancialInsights⁠ ⁠#PodcastEpisode⁠ ⁠#YouTubeFinance⁠ ⁠#MarketRecovery⁠ ⁠#SeasonalTrends⁠ ⁠#ContrarianInvesting⁠ ⁠#BTT⁠ ⁠#BizTalkTodayTV⁠ ⁠#CrossCheckMedia⁠ ⁠#ToddSchoenberger⁠ ⁠#ToddMSchoenberger

May 20, 202547 min

Bear Market Playbook: Dean Smith Warns of Stagflation and Market Turmoil

In this Buy Hold Sell Special Report, Wall Street veterans ⁠⁠Todd M. Schoenberger⁠⁠ and ⁠⁠Tobin Smith⁠⁠ sit down with ⁠⁠Dean Smith⁠⁠, Chief Strategist and Portfolio Manager at ⁠⁠FolioBeyond⁠⁠, for a high-stakes conversation on the rising risks of stagflation, market volatility, and the global economic outlook. Dean shares his bearish perspective on the U.S. economy, citing persistent inflation, unresolved U.S.-China trade tensions, and a Federal Reserve policy misstep as catalysts for continued market disruption. With markets swinging between euphoria and despair, Dean calls for caution and reveals how his quantitative fixed income strategy — FIXP — is navigating turbulent conditions. Other highlights include: ~ The untold story behind U.S.–EU trade dynamics ~ Why tariffs and inflation may soon strike Main Street ~ The strategic value of mortgage-backed securities in a volatile market ~ A forecast on Jerome Powell’s future and its economic implications Whether you're a retail investor or institutional player, this episode is a must-watch for anyone trying to make sense of this unpredictable market. 📈 ⁠⁠Subscribe to the CrossCheck Media channel on YouTube⁠⁠ to stay updated on future episodes and exclusive market insights. #BuyHoldSell #DeanSmith #FolioBeyond #MarketVolatility #Stagflation #Recession2025 #FIXP #QuantInvesting #FedWatch #InflationRisk #USChinaTrade #JeromePowell #InvestmentStrategy #WallStreetInsights #FixedIncome #BondMarket #Macroeconomics #SmartInvesting #CrossCheckMedia #PortfolioManagement #TobinSmith #BTT #BizTalkTodayTV #ToddSchoenberger #ToddMSchoenberger

May 16, 202536 min

Bear Market Playbook: Dean Smith Warns of Stagflation and Market Turmoil

In this Buy Hold Sell Special Report, Wall Street veterans ⁠Todd M. Schoenberger⁠ and ⁠Tobin Smith⁠ sit down with ⁠Dean Smith⁠, Chief Strategist and Portfolio Manager at ⁠FolioBeyond⁠, for a high-stakes conversation on the rising risks of stagflation, market volatility, and the global economic outlook. Dean shares his bearish perspective on the U.S. economy, citing persistent inflation, unresolved U.S.-China trade tensions, and a Federal Reserve policy misstep as catalysts for continued market disruption. With markets swinging between euphoria and despair, Dean calls for caution and reveals how his quantitative fixed income strategy — FIXP — is navigating turbulent conditions. Other highlights include: ~ The untold story behind U.S.–EU trade dynamics ~ Why tariffs and inflation may soon strike Main Street ~ The strategic value of mortgage-backed securities in a volatile market ~ A forecast on Jerome Powell’s future and its economic implications Whether you're a retail investor or institutional player, this episode is a must-watch for anyone trying to make sense of this unpredictable market. 📈 ⁠Subscribe to the CrossCheck Media channel on YouTube⁠ to stay updated on future episodes and exclusive market insights. #BuyHoldSell #DeanSmith #FolioBeyond #MarketVolatility #Stagflation #Recession2025 #FIXP #QuantInvesting #FedWatch #InflationRisk #USChinaTrade #JeromePowell #InvestmentStrategy #WallStreetInsights #FixedIncome #BondMarket #Macroeconomics #SmartInvesting #CrossCheckMedia #PortfolioManagement #TobinSmith #BTT #BizTalkTodayTV #ToddSchoenberger #ToddMSchoenberger

May 16, 202536 min

Recession or Recovery? Tom Bruce Breaks Down What Wall Street Won’t Say

📈 Recession or Recovery? Tom Bruce Breaks Down What Wall Street Won’t Say In this insightful episode of Buy Hold Sell, co-hosts ⁠⁠⁠Todd M. Schoenberger⁠⁠⁠ and ⁠⁠⁠Tobin Smith⁠⁠⁠ welcome ⁠⁠⁠Tom Bruce⁠⁠⁠, Macro Investment Strategist at ⁠⁠⁠Tanglewood Total Wealth Management⁠⁠⁠, to dissect the current economic landscape and its implications for investors. 🔍 Key Discussion Points: Macro Investment Strategy: Tom emphasizes the importance of focusing on macroeconomic trends over specific sectors or equities, offering a holistic market perspective. Market Conditions & Recession Outlook: While recession fears have diminished and the S\&P 500 shows positive momentum, Tom warns that much of the good news may already be priced in. European Economic Recovery: The discussion explores economic resurgence in countries like Germany and Poland, driven by falling interest rates and fiscal stimulus. Innovation & Manufacturing: Concerns are raised about Europe's ability to innovate compared to regions like Silicon Valley, with structural limitations in Germany's tech sector highlighted. Housing Market Analysis: Affordability issues due to high mortgage rates and rental prices are examined, particularly in the Sunbelt, though some regions continue to perform well. Bond Market Concerns: Tom addresses challenges in the bond market, including new debt issuance and foreign ownership of U.S. debt, estimating a 20-25% probability of a recession linked to recent trade developments. Federal Reserve Leadership: The implications of Jerome Powell's leadership at the Federal Reserve are examined, with both Tom and Tobin expressing apprehension about the potential impact of his departure. Tax Burdens & Manufacturing Future: The episode concludes with a discussion on the disparity in tax burdens and the future of manufacturing, emphasizing the importance of monitoring economic indicators as they approach a critical deadline. LinkedIn: ⁠⁠⁠ / crosscheck-media-llc ⁠⁠⁠ Instagram: ⁠⁠⁠ / crosscheckmedia ⁠⁠⁠ Facebook: ⁠⁠⁠ / crosscheckmedia ⁠⁠⁠ 🔔 Subscribe now to stay ahead with weekly insights from Buy Hold Sell → ⁠⁠⁠ / @crosscheckmedia ⁠⁠⁠ 🔗 Website: ⁠⁠⁠https://crosscheckmanagement.com/⁠⁠⁠ 📧 Contact on Email: [email protected] 📱 Follow us for real-time updates: 🔍 SEO-Optimized Keywords (for better discoverability!) macro investment strategy, economic outlook 2025, s\&p 500 forecast, european economic recovery, housing market trends, bond market analysis, federal reserve policy, recession risk assessment, innovation in europe, manufacturing sector challenges, u.s. debt ownership, tax burden disparities, market volatility insights, investment strategies, tanglewood wealth management, tom bruce insights, todd schoenberger analysis, tobin smith commentary, crosscheck media productions, biz talk today tv episodes 📢 Hashtags for Reach & Engagement ⁠⁠⁠#MacroStrategy⁠⁠⁠, ⁠⁠⁠#EconomicOutlook⁠⁠⁠, ⁠⁠⁠#SP500Forecast⁠⁠⁠, ⁠⁠⁠#RecessionRisk⁠⁠⁠, ⁠⁠⁠#HousingMarket⁠⁠⁠, ⁠⁠⁠#BondMarket⁠⁠⁠, ⁠⁠⁠#FederalReserve⁠⁠⁠, ⁠⁠⁠#InnovationChallenges⁠⁠⁠, ⁠⁠⁠#ManufacturingFuture⁠⁠⁠, ⁠⁠⁠#InvestmentInsights⁠⁠⁠, ⁠⁠⁠#BuyHoldSell⁠⁠⁠, ⁠⁠⁠#TomBruce⁠⁠⁠, ⁠⁠⁠#TanglewoodWealth⁠⁠⁠, ⁠⁠⁠#ToddSchoenberger⁠⁠⁠, ⁠⁠⁠#TobinSmith⁠⁠⁠, ⁠⁠⁠#CrossCheckMedia⁠⁠⁠, ⁠⁠⁠#BizTalkTodayTV⁠⁠⁠, ⁠⁠⁠#MarketAnalysis⁠⁠⁠, ⁠⁠⁠#FinancialMarkets⁠⁠⁠, ⁠⁠⁠#EconomicIndicators⁠⁠⁠ ⁠⁠⁠#BuyHoldSell⁠⁠⁠ ⁠⁠⁠#TomBruce⁠⁠⁠ ⁠⁠⁠#TanglewoodWealth⁠⁠⁠ ⁠⁠⁠#MacroStrategy⁠⁠⁠ ⁠⁠⁠#MarketTrends⁠⁠⁠ ⁠⁠⁠#RecessionRisk⁠⁠⁠ ⁠⁠⁠#GlobalEconomy⁠⁠⁠ ⁠⁠⁠#InvestmentInsights⁠⁠⁠ ⁠⁠⁠#HousingMarket⁠⁠⁠ ⁠⁠⁠#BondMarket⁠⁠⁠ ⁠⁠⁠#FederalReserve⁠⁠⁠ ⁠⁠⁠#ManufacturingFuture⁠⁠⁠ ⁠⁠⁠#EconomicIndicators⁠⁠⁠ ⁠⁠⁠#SubscribeNow⁠⁠⁠ ⁠⁠⁠#CrossCheckMedia⁠⁠⁠ ⁠⁠⁠#TobinSmith⁠⁠⁠ ⁠⁠⁠#ToddSchoenberger⁠⁠⁠ ⁠⁠⁠#ToddMSchoenberger⁠⁠⁠ ⁠⁠⁠#BizTalkTodayTV⁠

May 15, 202529 min

Recession or Recovery? Tom Bruce Breaks Down What Wall Street Won’t Say

📈 Recession or Recovery? Tom Bruce Breaks Down What Wall Street Won’t Say In this insightful episode of Buy Hold Sell, co-hosts ⁠⁠Todd M. Schoenberger⁠⁠ and ⁠⁠Tobin Smith⁠⁠ welcome ⁠⁠Tom Bruce⁠⁠, Macro Investment Strategist at ⁠⁠Tanglewood Total Wealth Management⁠⁠, to dissect the current economic landscape and its implications for investors. 🔍 Key Discussion Points: Macro Investment Strategy: Tom emphasizes the importance of focusing on macroeconomic trends over specific sectors or equities, offering a holistic market perspective. Market Conditions & Recession Outlook: While recession fears have diminished and the S\&P 500 shows positive momentum, Tom warns that much of the good news may already be priced in. European Economic Recovery: The discussion explores economic resurgence in countries like Germany and Poland, driven by falling interest rates and fiscal stimulus. Innovation & Manufacturing: Concerns are raised about Europe's ability to innovate compared to regions like Silicon Valley, with structural limitations in Germany's tech sector highlighted. Housing Market Analysis: Affordability issues due to high mortgage rates and rental prices are examined, particularly in the Sunbelt, though some regions continue to perform well. Bond Market Concerns: Tom addresses challenges in the bond market, including new debt issuance and foreign ownership of U.S. debt, estimating a 20-25% probability of a recession linked to recent trade developments. Federal Reserve Leadership: The implications of Jerome Powell's leadership at the Federal Reserve are examined, with both Tom and Tobin expressing apprehension about the potential impact of his departure. Tax Burdens & Manufacturing Future: The episode concludes with a discussion on the disparity in tax burdens and the future of manufacturing, emphasizing the importance of monitoring economic indicators as they approach a critical deadline. LinkedIn: ⁠⁠ / crosscheck-media-llc ⁠⁠ Instagram: ⁠⁠ / crosscheckmedia ⁠⁠ Facebook: ⁠⁠ / crosscheckmedia ⁠⁠ 🔔 Subscribe now to stay ahead with weekly insights from Buy Hold Sell → ⁠⁠ / @crosscheckmedia ⁠⁠ 🔗 Website: ⁠⁠https://crosscheckmanagement.com/⁠⁠ 📧 Contact on Email: [email protected] 📱 Follow us for real-time updates: 🔍 SEO-Optimized Keywords (for better discoverability!) macro investment strategy, economic outlook 2025, s\&p 500 forecast, european economic recovery, housing market trends, bond market analysis, federal reserve policy, recession risk assessment, innovation in europe, manufacturing sector challenges, u.s. debt ownership, tax burden disparities, market volatility insights, investment strategies, tanglewood wealth management, tom bruce insights, todd schoenberger analysis, tobin smith commentary, crosscheck media productions, biz talk today tv episodes 📢 Hashtags for Reach & Engagement ⁠⁠#MacroStrategy⁠⁠, ⁠⁠#EconomicOutlook⁠⁠, ⁠⁠#SP500Forecast⁠⁠, ⁠⁠#RecessionRisk⁠⁠, ⁠⁠#HousingMarket⁠⁠, ⁠⁠#BondMarket⁠⁠, ⁠⁠#FederalReserve⁠⁠, ⁠⁠#InnovationChallenges⁠⁠, ⁠⁠#ManufacturingFuture⁠⁠, ⁠⁠#InvestmentInsights⁠⁠, ⁠⁠#BuyHoldSell⁠⁠, ⁠⁠#TomBruce⁠⁠, ⁠⁠#TanglewoodWealth⁠⁠, ⁠⁠#ToddSchoenberger⁠⁠, ⁠⁠#TobinSmith⁠⁠, ⁠⁠#CrossCheckMedia⁠⁠, ⁠⁠#BizTalkTodayTV⁠⁠, ⁠⁠#MarketAnalysis⁠⁠, ⁠⁠#FinancialMarkets⁠⁠, ⁠⁠#EconomicIndicators⁠⁠ ⁠⁠#BuyHoldSell⁠⁠ ⁠⁠#TomBruce⁠⁠ ⁠⁠#TanglewoodWealth⁠⁠ ⁠⁠#MacroStrategy⁠⁠ ⁠⁠#MarketTrends⁠⁠ ⁠⁠#RecessionRisk⁠⁠ ⁠⁠#GlobalEconomy⁠⁠ ⁠⁠#InvestmentInsights⁠⁠ ⁠⁠#HousingMarket⁠⁠ ⁠⁠#BondMarket⁠⁠ ⁠⁠#FederalReserve⁠⁠ ⁠⁠#ManufacturingFuture⁠⁠ ⁠⁠#EconomicIndicators⁠⁠ ⁠⁠#SubscribeNow⁠⁠ ⁠⁠#CrossCheckMedia⁠⁠ ⁠⁠#TobinSmith⁠⁠ ⁠⁠#ToddSchoenberger⁠⁠ ⁠⁠#ToddMSchoenberger⁠⁠ ⁠⁠#BizTalkTodayTV⁠

May 14, 202530 min

US–China Ceasefire Ignites Massive Stock Market Rally | Sam Stovall's Strategic Investment Forecast

📈 US–China Ceasefire Ignites Massive Stock Market Rally | Sam Stovall's Strategic Investment Forecast 🔥 In this explosive special report of Buy Hold Sell, hosts ⁠Todd M. Schoenberger⁠ and ⁠Tobin Smith⁠ welcome ⁠Sam Stovall⁠, Chief Investment Strategist at ⁠CFRA Research⁠, to dissect the unexpected 90-day ceasefire agreement in the ongoing U.S.–China trade war—and how it triggered a historic surge across the financial markets. 🎙️ What Happened? After intense, behind-closed-doors weekend negotiations in Switzerland, the United States and China agreed to a temporary truce, drastically slashing previously aggressive tariffs: ✅ U.S. tariffs on Chinese goods were cut from 145% to 30% ✅ China’s tariffs on American imports dropped from 125% to 10% These policy shifts sent shockwaves through the market, producing a massive relief rally: 📈 S\&P 500 leaped +3.3% 📈 Dow Jones Industrial Average surged +1,160 points (+2.8%) 📈 Nasdaq Composite rocketed +4.4% 🔍 Sam Stovall’s Expert Insights Include: 📊 Why two-thirds of bear markets occur around the 200-day moving average — and what that means right now 📈 How Lowry Research's institutional demand signals point to a promising market rebound ⚠️ Why midterm election politics are playing an outsized role in current market swings 💡 The smartest way to position your portfolio during volatile cycles 🔎 Why oversold sectors are flashing buy signals 🏭 Challenges in the U.S. manufacturing sector and how high-tech reshoring could drive long-term gains 🛡️ How to use VIX volatility readings to time entry points with greater confidence Whether you’re a long-term investor or active trader, this episode delivers essential context and tactical strategies for navigating this market shockwave. 📢 Why You Should Watch: This is more than just market commentary. It’s a roadmap to understanding global trade shifts, reading technical signals, and identifying where real opportunities may lie in this high-stakes environment. 📺 Don’t miss this full breakdown and expert-level guidance from Sam Stovall, one of the most respected voices in finance. 🔔 Subscribe now to stay ahead with weekly insights from Buy Hold Sell → [⁠ / @crosscheckmedia ⁠](⁠ / @crosscheckmedia ⁠) 🔗 Website: ⁠https://crosscheckmanagement.com/⁠ 📧 Contact on Email: [email protected] 📱 Follow us for real-time updates: LinkedIn: ⁠ / crosscheck-media-llc ⁠ Instagram: ⁠ / crosscheckmedia ⁠ Facebook: ⁠ / crosscheckmedia ⁠ 🔍 SEO-Optimized Keywords (for better discoverability!) us china trade war update, market rally after tariff truce, sam stovall cfra analysis, sp500 2025 forecast, dow jones reaction to trade deal, nasdaq rally explained, buy hold sell stock show, tobin smith market commentary, todd m schoenberger news, investment strategy during volatility, vix index and buying signals, 200 day moving average bear markets, how tariffs affect stock market, economic outlook post ceasefire, lowry research demand indicators, best stocks in high tech reshoring, election year market predictions, trading strategies with sam stovall, global trade policy impact, market volatility explained 📢 Hashtags for Reach & Engagement ⁠#buyholdsell⁠, ⁠#samstovall⁠, ⁠#uschinatradewar⁠, ⁠#marketrally⁠, ⁠#tarifftruce⁠, ⁠#cfraresearch⁠, ⁠#sp500⁠, ⁠#dowjones⁠, ⁠#nasdaq⁠, ⁠#marketoutlook⁠, ⁠#vix⁠, ⁠#economicinsights⁠, ⁠#investsmart⁠, ⁠#toddmschoenberger⁠, ⁠#tobinsmith⁠, ⁠#crosscheckmedia⁠, ⁠#biztalktodaytv⁠, ⁠#tradingtips⁠, ⁠#financialnews⁠, ⁠#stocks2025⁠ ⁠#CFRAResearch⁠ ⁠#USChinaTrade⁠ ⁠#TariffTruce⁠ ⁠#MarketRally⁠ ⁠#SP500⁠ ⁠#DowJones⁠ ⁠#Nasdaq⁠ ⁠#InvestmentStrategy⁠ ⁠#MarketAnalysis⁠ ⁠#StockMarketNews⁠ ⁠#VolatilityIndex⁠ ⁠#MidtermElections⁠ ⁠#ManufacturingSector⁠ ⁠#HighTechManufacturing⁠ ⁠#InvestorInsights⁠ ⁠#FinancialMarkets⁠ ⁠#EconomicOutlook⁠ ⁠#CrossCheckMedia⁠ ⁠#SubscribeNow⁠ ⁠#BTT⁠ ⁠#BizTalkTodayTV⁠ ⁠#TobinSmith⁠ ⁠#ToddSchoenberger⁠ ⁠#ToddMSchoenberger

May 13, 202523 min

Markets Surge as U.S.–China Tariff Truce Ignites Rally | Sam Stovall Analyzes the Impact

In this Buy Hold Sell Special Report, hosts Todd M. Schoenberger and Tobin Smith are joined by Sam Stovall, Chief Investment Strategist at CFRA Research, to dissect the market's reaction to the unexpected 90-day ceasefire in the U.S.–China trade war. Following weekend negotiations in Switzerland, both nations agreed to significantly reduce tariffs—U.S. tariffs on Chinese goods dropped from 145% to 30%, while China's tariffs on U.S. goods decreased from 125% to 10% . This development sparked a substantial market rally: 📈 S&P 500 surged by 3.3% 📈 Dow Jones soared over 1,160 points (2.8%) 📈 Nasdaq jumped 4.4% Stovall provides historical context, noting that two-thirds of bear markets have occurred near the 200-day moving average, suggesting that recent market behavior aligns with historical patterns. He advises investors to maintain their positions, highlighting promising demand indicators from Lowry Research despite recent volatility. The discussion also delves into the political pressures influencing market conditions, especially with upcoming midterm elections. Tobin Smith emphasizes the significance of volatility ratings, indicating that extreme VIX levels could serve as buying signals for long-term investors. Both experts agree on the potential for substantial returns in oversold sectors now showing signs of recovery. Additionally, they discuss challenges in U.S. manufacturing, the effectiveness of tariffs, and the importance of strategic investments in high-tech manufacturing sectors. 🔔 Subscribe to the CrossCheck Media YouTube channel to stay updated on future episodes of Buy Hold Sell and more expert insights: / @crosscheckmedia 🔖 #BuyHoldSell #SamStovall #CFRAResearch #USChinaTrade #TariffTruce #MarketRally #SP500 #DowJones #Nasdaq #InvestmentStrategy #MarketAnalysis #StockMarketNews #VolatilityIndex #MidtermElections #ManufacturingSector #HighTechManufacturing #InvestorInsights #FinancialMarkets #EconomicOutlook #CrossCheckMedia #SubscribeNow #BTT #BizTalkTodayTV #TobinSmith #ToddSchoenberger #ToddMSchoenberger

May 13, 202523 min

Why Energy Infrastructure Is Outpacing the S&P 500 | Rob Thummel on LNG, AI & 2025 Market Outlook

Why Energy Infrastructure Is Outpacing the S&P 500 | Rob Thummel on LNG, AI & 2025 Market Outlook In this must-watch episode of Buy Hold Sell, hosts ⁠Tobin Smith⁠ (TransformityResearch.com) and ⁠Todd M. Schoenberger⁠ (CEO, CrossCheck Media) sit down with ⁠Rob Thummel⁠, Managing Director and Senior Portfolio Manager at ⁠Tortoise Capital⁠, to break down the energy market's current trends and future outlook. ⚡📊 Thummel offers expert insight into: 🔹 Dividend investing in energy stocks 🔹 Resilience of energy infrastructure during GDP slowdowns 🔹 The growing global role of U.S. Natural Gas and LNG Exports 🔹 Why “There is no AI without EI” (Energy Infrastructure) 🔹 Capital discipline, cybersecurity, and institutional investing 🔹 Master Limited Partnerships (MLPs) and midstream opportunities 🔹 Tariffs and geopolitical forces reshaping the energy landscape 📌 With companies like Cheniere Energy showing strong fundamentals, and a clear shift in the U.S. power industry, this episode is packed with strategic opportunities for savvy investors. 💡 Whether you’re investing in Hydrogen, Natural gas, or midstream giants, this discussion gives you the roadmap for energy investing in 2025 and beyond. 👉 Subscribe for weekly financial insights and strategy from Wall Street’s most trusted voices. 📨 Stay updated via: www.BizTalkTodayTV.com 🎥 A CrossCheck Media production | Distributed by Biz Talk Today TV (BTT) Executive Producer: Todd M. Schoenberger 🔗 Website: ⁠https://crosscheckmanagement.com/⁠ 📧 Contact on Email: [email protected] 📱 Follow us for real-time updates: LinkedIn: ⁠ ⁠ ⁠ / crosscheck-media-llc ⁠ Instagram: ⁠ ⁠ ⁠ / crosscheckmedia ⁠ Facebook: ⁠ ⁠ ⁠ / crosscheckmedia ⁠ 🔍 SEO-Optimized Keywords (for better discoverability!) energy investing 2025, natural gas market outlook, dividend energy stocks, rob thummel interview, lng export strategy, tortoise capital insights, energy infrastructure investing, ai and energy, us energy dominance, hydrogen investment potential, midstream energy sector, mlp investment tips, cheniere energy analysis, gdp and oil correlation, tariffs energy impact, cybersecurity in energy sector, capital discipline oil companies, electricity generation trends, fossil fuel investing 2025, energy market predictions 📢 Hashtags for Reach & Engagement ⁠#BuyHoldSell⁠ ⁠#EnergyInvesting⁠ ⁠#RobThummel⁠ ⁠#TortoiseCapital⁠ ⁠#NaturalGas⁠ ⁠#LNGExports⁠ ⁠#DividendStocks⁠ ⁠#EnergyInfrastructure⁠ ⁠#AIandEnergy⁠ ⁠#CheniereEnergy⁠ ⁠#MLPs⁠ ⁠#HydrogenInvesting⁠ ⁠#ToddSchoenberger⁠ ⁠#TobinSmith⁠ ⁠#CrossCheckMedia⁠ ⁠#BTT⁠ ⁠#EnergyMarket2025⁠ ⁠#OilAndGasOutlook⁠ ⁠#InvestmentStrategy⁠ ⁠#FinancialNews⁠ ⁠#DividendStocks⁠ ⁠#MLPs⁠ ⁠#NaturalGas⁠ ⁠#LNGExports⁠ ⁠#EnergyInvestment⁠ ⁠#CheniereEnergy⁠ ⁠#Cybersecurity⁠ ⁠#EnergyMarkets⁠ ⁠#AIandEnergy⁠ ⁠#TransformityResearch⁠ ⁠#CrossCheckMedia⁠ ⁠#EnergyInfrastructure⁠ ⁠#InvestmentStrategy⁠ ⁠#RobThummel⁠ ⁠#TortoiseCapital⁠ ⁠#DividendInvesting⁠ ⁠#NaturalGas⁠ ⁠#LNG⁠ ⁠#EnergyMarkets⁠ ⁠#CheniereEnergy⁠ ⁠#Cybersecurity⁠ ⁠#AIinEnergy⁠ ⁠#BuyHoldSell⁠ ⁠#TransformityResearch⁠ ⁠#CrossCheckMedia⁠ ⁠#EnergyPodcast⁠ ⁠#RobThummel⁠ ⁠#TortoiseCapital⁠ ⁠#EnergyInfrastructure⁠ ⁠#DividendStocks⁠ ⁠#MLPs⁠ ⁠#NaturalGas⁠ ⁠#LNGExports⁠ ⁠#InvestmentStrategy⁠ ⁠#CheniereEnergy⁠ ⁠#Cybersecurity⁠ ⁠#AIandEnergy⁠ ⁠#BuyHoldSell⁠ ⁠#TransformityResearch⁠ ⁠#CrossCheckMedia⁠ ⁠#BTT⁠ ⁠#BizTalkTodayTV⁠ ⁠#TobinSmith⁠ ⁠#ToddSchoenberger⁠ ⁠#ToddMSchoenberger⁠

May 6, 202530 min

Why Energy Infrastructure Is Outpacing the S&P 500 | Rob Thummel on LNG, AI & 2025 Market Outlook

Why Energy Infrastructure Is Outpacing the S&P 500 | Rob Thummel on LNG, AI & 2025 Market Outlook In this must-watch episode of Buy Hold Sell, hosts Tobin Smith (TransformityResearch.com) and Todd M. Schoenberger (CEO, CrossCheck Media) sit down with Rob Thummel, Managing Director and Senior Portfolio Manager at Tortoise Capital, to break down the energy market's current trends and future outlook. ⚡📊 Thummel offers expert insight into: 🔹 Dividend investing in energy stocks 🔹 Resilience of energy infrastructure during GDP slowdowns 🔹 The growing global role of U.S. Natural Gas and LNG Exports 🔹 Why “There is no AI without EI” (Energy Infrastructure) 🔹 Capital discipline, cybersecurity, and institutional investing 🔹 Master Limited Partnerships (MLPs) and midstream opportunities 🔹 Tariffs and geopolitical forces reshaping the energy landscape 📌 With companies like Cheniere Energy showing strong fundamentals, and a clear shift in the U.S. power industry, this episode is packed with strategic opportunities for savvy investors. 💡 Whether you’re investing in Hydrogen, Natural gas, or midstream giants, this discussion gives you the roadmap for energy investing in 2025 and beyond. 👉 Subscribe for weekly financial insights and strategy from Wall Street’s most trusted voices. 📨 Stay updated via: www.BizTalkTodayTV.com 🎥 A CrossCheck Media production | Distributed by Biz Talk Today TV (BTT) Executive Producer: Todd M. Schoenberger 🔗 Website: https://crosscheckmanagement.com/ 📧 Contact on Email: [email protected] 📱 Follow us for real-time updates: LinkedIn: / crosscheck-media-llc Instagram: / crosscheckmedia Facebook: / crosscheckmedia 🔍 SEO-Optimized Keywords (for better discoverability!) energy investing 2025, natural gas market outlook, dividend energy stocks, rob thummel interview, lng export strategy, tortoise capital insights, energy infrastructure investing, ai and energy, us energy dominance, hydrogen investment potential, midstream energy sector, mlp investment tips, cheniere energy analysis, gdp and oil correlation, tariffs energy impact, cybersecurity in energy sector, capital discipline oil companies, electricity generation trends, fossil fuel investing 2025, energy market predictions 📢 Hashtags for Reach & Engagement #BuyHoldSell #EnergyInvesting #RobThummel #TortoiseCapital #NaturalGas #LNGExports #DividendStocks #EnergyInfrastructure #AIandEnergy #CheniereEnergy #MLPs #HydrogenInvesting #ToddSchoenberger #TobinSmith #CrossCheckMedia #BTT #EnergyMarket2025 #OilAndGasOutlook #InvestmentStrategy #FinancialNews #DividendStocks #MLPs #NaturalGas #LNGExports #EnergyInvestment #CheniereEnergy #Cybersecurity #EnergyMarkets #AIandEnergy #TransformityResearch #CrossCheckMedia #EnergyInfrastructure #InvestmentStrategy #RobThummel #TortoiseCapital #DividendInvesting #NaturalGas #LNG #EnergyMarkets #CheniereEnergy #Cybersecurity #AIinEnergy #BuyHoldSell #TransformityResearch #CrossCheckMedia #EnergyPodcast #RobThummel #TortoiseCapital #EnergyInfrastructure #DividendStocks #MLPs #NaturalGas #LNGExports #InvestmentStrategy #CheniereEnergy #Cybersecurity #AIandEnergy #BuyHoldSell #TransformityResearch #CrossCheckMedia #BTT #BizTalkTodayTV #TobinSmith #ToddSchoenberger #ToddMSchoenberger

May 6, 202529 min

Market Cycles, Breadth Signals & Fed Missteps: Jeffrey Hirsch & Tom McClellan on WealthWise

In this compelling episode of WealthWise with Jeffrey Hirsch, host ⁠⁠⁠Jeffrey Hirsch⁠⁠⁠—Editor-in-Chief of the ⁠⁠Stock Trader’s Almanac⁠⁠—engages in a deep-dive conversation with renowned technical analyst ⁠⁠⁠Tom McClellan⁠⁠⁠, Editor of ⁠⁠⁠The McClellan Market Report⁠⁠⁠.​ Together, they explore:​ ~ Post-Election Year Market Trends: Insights into historical patterns and potential market weaknesses during Republican administrations, emphasizing the critical first hundred days of a presidency.​ ~ McClellan Oscillator Analysis: Tom McClellan elucidates the mechanics of the McClellan Oscillator, highlighting a current bearish divergence that may signal a market top.​ ~ Crude Oil and Market Correlation: Discussion on the relationship between crude oil prices and stock market movements, with projections pointing to a potential market bottom around January 2026, followed by a bull market until 2028.​ ~ Federal Reserve's Interest Rate Strategies: Critique of the Fed's decision-making process, historical misjudgments, and the implications of reverse repurchase agreements on market liquidity.​ ~ Tariffs and Economic Impact: Analysis of tariffs as a form of taxation that creates uncertainty among investors, with a pivotal moment anticipated in November that could influence investor behavior.​ ~ AI and Technology Trends: Exploration of how artificial intelligence and technological advancements are shaping market dynamics.​ Gain valuable perspectives from two seasoned market analysts on navigating the complexities of today's financial landscape.​ 🔖 ⁠⁠⁠#WealthWise⁠⁠⁠ ⁠⁠⁠#JeffreyHirsch⁠⁠⁠ ⁠⁠⁠#TomMcClellan⁠⁠⁠ ⁠⁠⁠#StockTradersAlmanac⁠⁠⁠ ⁠⁠⁠#McClellanOscillator⁠⁠⁠ ⁠⁠⁠#MarketBreadth⁠⁠⁠ ⁠⁠⁠#TechnicalAnalysis⁠⁠⁠ ⁠⁠⁠#MarketCycles⁠⁠⁠ ⁠⁠⁠#PostElectionTrends⁠⁠⁠ ⁠⁠⁠#FederalReserve⁠⁠⁠ ⁠⁠⁠#InterestRates⁠⁠⁠ ⁠⁠⁠#CrudeOil⁠⁠⁠ ⁠⁠⁠#MarketOutlook2026⁠⁠⁠ ⁠⁠⁠#BearMarket⁠⁠⁠ ⁠⁠⁠#BullMarket⁠⁠⁠ ⁠⁠⁠#Tariffs⁠⁠⁠ ⁠⁠⁠#AIinFinance⁠⁠⁠ ⁠⁠⁠#InvestmentStrategies⁠⁠⁠ ⁠⁠⁠#FinancialPodcast⁠⁠⁠ ⁠⁠⁠#MarketInsights⁠⁠⁠ ⁠⁠⁠#CrossCheckMedia⁠⁠⁠ ⁠⁠⁠#BTT⁠⁠⁠ ⁠⁠⁠#BizTalkTodayTV⁠⁠⁠ ⁠⁠⁠#ToddSchoenberger⁠⁠⁠ ⁠⁠⁠#ToddMSchoenberger⁠⁠

May 5, 202553 min

Market Cycles, Breadth Signals & Fed Missteps: Jeffrey Hirsch & Tom McClellan on WealthWise

In this compelling episode of WealthWise with Jeffrey Hirsch, host ⁠⁠Jeffrey Hirsch⁠⁠—Editor-in-Chief of the ⁠Stock Trader’s Almanac⁠—engages in a deep-dive conversation with renowned technical analyst ⁠⁠Tom McClellan⁠⁠, Editor of ⁠⁠The McClellan Market Report⁠⁠.​ Together, they explore:​ ~ Post-Election Year Market Trends: Insights into historical patterns and potential market weaknesses during Republican administrations, emphasizing the critical first hundred days of a presidency.​ ~ McClellan Oscillator Analysis: Tom McClellan elucidates the mechanics of the McClellan Oscillator, highlighting a current bearish divergence that may signal a market top.​ ~ Crude Oil and Market Correlation: Discussion on the relationship between crude oil prices and stock market movements, with projections pointing to a potential market bottom around January 2026, followed by a bull market until 2028.​ ~ Federal Reserve's Interest Rate Strategies: Critique of the Fed's decision-making process, historical misjudgments, and the implications of reverse repurchase agreements on market liquidity.​ ~ Tariffs and Economic Impact: Analysis of tariffs as a form of taxation that creates uncertainty among investors, with a pivotal moment anticipated in November that could influence investor behavior.​ ~ AI and Technology Trends: Exploration of how artificial intelligence and technological advancements are shaping market dynamics.​ Gain valuable perspectives from two seasoned market analysts on navigating the complexities of today's financial landscape.​ 🔖 ⁠⁠#WealthWise⁠⁠ ⁠⁠#JeffreyHirsch⁠⁠ ⁠⁠#TomMcClellan⁠⁠ ⁠⁠#StockTradersAlmanac⁠⁠ ⁠⁠#McClellanOscillator⁠⁠ ⁠⁠#MarketBreadth⁠⁠ ⁠⁠#TechnicalAnalysis⁠⁠ ⁠⁠#MarketCycles⁠⁠ ⁠⁠#PostElectionTrends⁠⁠ ⁠⁠#FederalReserve⁠⁠ ⁠⁠#InterestRates⁠⁠ ⁠⁠#CrudeOil⁠⁠ ⁠⁠#MarketOutlook2026⁠⁠ ⁠⁠#BearMarket⁠⁠ ⁠⁠#BullMarket⁠⁠ ⁠⁠#Tariffs⁠⁠ ⁠⁠#AIinFinance⁠⁠ ⁠⁠#InvestmentStrategies⁠⁠ ⁠⁠#FinancialPodcast⁠⁠ ⁠⁠#MarketInsights⁠⁠ ⁠⁠#CrossCheckMedia⁠⁠ ⁠⁠#BTT⁠⁠ ⁠⁠#BizTalkTodayTV⁠⁠ ⁠⁠#ToddSchoenberger⁠⁠ ⁠⁠#ToddMSchoenberger⁠

May 5, 202553 min

Katie Stockton Breaks Down the Bear Cycle: Technical Analysis You Need Now

📉 Katie Stockton Breaks Down the Bear Cycle: Technical Analysis You Need Now In this power-packed episode of 💸 Money Mavericks, host Tobin Smith sits down with Katie Stockton, CMT, Founder & Managing Partner of Fairlead Strategies, to decode the latest market turbulence with unmatched technical expertise. Katie—renowned for her disciplined technical analysis and leadership of the Fairlead Tactical Sector ETF (TACK) — delivers key insights on: 📊 Market Dynamics: Are we near a short-term low? Katie breaks down the signals behind current bearish trends. 📈 Sector Strength: From gold and mining stocks to enterprise software and CrowdStrike, discover which areas show resilience. 🧠 Smart Strategies: How to stay exposed to equities while managing cash wisely and embracing systematic asset allocation. 🌍 Global Perspective: What international equities and agricultural commodities reveal about the broader economic landscape. Katie’s data-driven approach offers Crucial Guidance for investors navigating today’s unpredictable markets. Don't miss her Actionable Strategies and expert analysis! 📌 Subscribe Now for more financial deep-dives: CrossCheck Media YouTube Channel / @crosscheckmedia 🔗 Website: https://crosscheckmanagement.com/ 📧 Contact on Email: [email protected] 📱 Follow us for real-time updates: LinkedIn: / crosscheck-media-llc Instagram: / crosscheckmedia Facebook: / crosscheckmedia 🔍 SEO-Optimized Keywords (for better discoverability!) katie stockton interview, fairlead strategies analysis, technical analysis expert tips, tack etf insights, market volatility explained, gold and mining stock outlook, enterprise software investments, crowdstrike stock analysis, cybersecurity sector trends, systematic investing strategies, equity market exposure tips, active investing in bear market, short term market lows, agricultural commodities forecast, risk management for investors, global equity outlook 2025, financial podcast for investors, trading indicators explained, technical stock analysis strategies, stock market expert commentary 📢 Hashtags for Reach & Engagement #katiestockton, #technicalanalysis, #stockmarket, #marketvolatility, #fairleadstrategies, #tacketf, #tobinsmith, #moneyMavericks, #crowdstrike, #goldstocks, #investmentstrategies, #tradingtips, #etfstrategy, #marketinsights, #smartinvesting, #riskmanagement, #financialmarkets, #nasdaq, #crosscheckmedia, #btt, #MoneyMavericks, #NASDAQ #CybersecurityStocks #BearMarket #MarketInsights #CMT #TradingIndicators #MarketTrends #StockMarketAnalysis #FinancialPodcast #YouTubeFinance #EquityMarkets #CrowdStrike #AgriculturalCommodities #SmartInvesting #TechStocks #RiskManagement #FinancialMarkets #ActiveInvesting #ETFStrategy #MarketCycles #BTT #BizTalkTodayTV #CrossCheckMedia #ToddSchoenberger

Apr 20, 202540 min

Katie Stockton Breaks Down the Bear Cycle: Technical Analysis You Need Now

📉 Katie Stockton Breaks Down the Bear Cycle: Technical Analysis You Need Now In this power-packed episode of 💸 Money Mavericks, host Tobin Smith sits down with Katie Stockton, CMT, Founder & Managing Partner of Fairlead Strategies, to decode the latest market turbulence with unmatched technical expertise. Katie—renowned for her disciplined technical analysis and leadership of the Fairlead Tactical Sector ETF (TACK) — delivers key insights on: 📊 Market Dynamics: Are we near a short-term low? Katie breaks down the signals behind current bearish trends. 📈 Sector Strength: From gold and mining stocks to enterprise software and CrowdStrike, discover which areas show resilience. 🧠 Smart Strategies: How to stay exposed to equities while managing cash wisely and embracing systematic asset allocation. 🌍 Global Perspective: What international equities and agricultural commodities reveal about the broader economic landscape. Katie’s data-driven approach offers Crucial Guidance for investors navigating today’s unpredictable markets. Don't miss her Actionable Strategies and expert analysis! 📌 Subscribe Now for more financial deep-dives: CrossCheck Media YouTube Channel / @crosscheckmedia 🔗 Website: https://crosscheckmanagement.com/ 📧 Contact on Email: [email protected] 📱 Follow us for real-time updates: LinkedIn: / crosscheck-media-llc Instagram: / crosscheckmedia Facebook: / crosscheckmedia 🔍 SEO-Optimized Keywords (for better discoverability!) katie stockton interview, fairlead strategies analysis, technical analysis expert tips, tack etf insights, market volatility explained, gold and mining stock outlook, enterprise software investments, crowdstrike stock analysis, cybersecurity sector trends, systematic investing strategies, equity market exposure tips, active investing in bear market, short term market lows, agricultural commodities forecast, risk management for investors, global equity outlook 2025, financial podcast for investors, trading indicators explained, technical stock analysis strategies, stock market expert commentary 📢 Hashtags for Reach & Engagement #katiestockton, #technicalanalysis, #stockmarket, #marketvolatility, #fairleadstrategies, #tacketf, #tobinsmith, #moneyMavericks, #crowdstrike, #goldstocks, #investmentstrategies, #tradingtips, #etfstrategy, #marketinsights, #smartinvesting, #riskmanagement, #financialmarkets, #nasdaq, #crosscheckmedia, #btt, #MoneyMavericks, #NASDAQ #CybersecurityStocks #BearMarket #MarketInsights #CMT #TradingIndicators #MarketTrends #StockMarketAnalysis #FinancialPodcast #YouTubeFinance #EquityMarkets #CrowdStrike #AgriculturalCommodities #SmartInvesting #TechStocks #RiskManagement #FinancialMarkets #ActiveInvesting #ETFStrategy #MarketCycles #BTT #BizTalkTodayTV #CrossCheckMedia #ToddSchoenberger

Apr 20, 202539 min

Jay Hatfield’s Market Moves: Navigating Tariff Turmoil on Money Mavericks

In this insightful episode of Money Mavericks, host Tobin Smith engages with Jay Hatfield, CIO of Infrastructure Capital Advisors and portfolio manager of the InfraCap Equity Income Fund ETF (ICAP). Hatfield shares his exclusive strategies for navigating the current tariff-induced market volatility, revealing the specific assets he's adding to his personal portfolio.​ With over 35 years of Wall Street experience, Hatfield discusses the implications of the ongoing tariff war, its impact on inflation, and the sectors poised for growth. He also candidly addresses his greatest concerns in the current economic landscape, providing viewers with a nuanced understanding of market dynamics.​ 📌 Subscribe to CrossCheck Media on YouTube for more expert insights: https://www.youtube.com/@CrossCheckMedia 📺 Don't Miss the Next Episode: Tune in on Tuesday, April 15th at 9:00 PM EST for a special Money Mavericks featuring Katie Stockton, Founder and Managing Partner of Fairlead Strategies, as she shares her technical analysis on market trends.​ 🔖 YouTube/Podcast Optimization Tags: #MoneyMavericks #JayHatfield #ICAPETF #TariffWar #MarketStrategy #InflationImpact #InvestmentInsights #CrossCheckMedia #TobinSmith #KatieStockton #FairleadStrategies #TechnicalAnalysis #MarketVolatility #InvestorEducation #EconomicOutlook #BTT #BizTalkTodayTV

Apr 13, 202544 min

Jay Hatfield’s Market Moves: Navigating Tariff Turmoil on Money Mavericks

In this insightful episode of Money Mavericks, host Tobin Smith engages with Jay Hatfield, CIO of Infrastructure Capital Advisors and portfolio manager of the InfraCap Equity Income Fund ETF (ICAP). Hatfield shares his exclusive strategies for navigating the current tariff-induced market volatility, revealing the specific assets he's adding to his personal portfolio.​ With over 35 years of Wall Street experience, Hatfield discusses the implications of the ongoing tariff war, its impact on inflation, and the sectors poised for growth. He also candidly addresses his greatest concerns in the current economic landscape, providing viewers with a nuanced understanding of market dynamics.​ 📌 Subscribe to CrossCheck Media on YouTube for more expert insights: https://www.youtube.com/@CrossCheckMedia 📺 Don't Miss the Next Episode: Tune in on Tuesday, April 15th at 9:00 PM EST for a special Money Mavericks featuring Katie Stockton, Founder and Managing Partner of Fairlead Strategies, as she shares her technical analysis on market trends.​ 🔖 YouTube/Podcast Optimization Tags: #MoneyMavericks #JayHatfield #ICAPETF #TariffWar #MarketStrategy #InflationImpact #InvestmentInsights #CrossCheckMedia #TobinSmith #KatieStockton #FairleadStrategies #TechnicalAnalysis #MarketVolatility #InvestorEducation #EconomicOutlook #BTT #BizTalkTodayTV

Apr 13, 202544 min

Historic Market Rally: Dow Soars Nearly 3,000 Points Amid Tariff Pause | Insights with Adam Patti

📈 Historic Market Rally: Dow Soars Nearly 3,000 Points Amid Tariff Pause | Insights with Adam Patti On April 9, 2025, the Dow Jones soared nearly 3,000 points after President Trump announced a 90-day pause on most tariffs, while simultaneously raising tariffs on Chinese imports to 125%. In this powerful episode of Buy Hold Sell, co-hosts Todd M. Schoenberger and Tobin Smith welcome Adam Patti, CEO of VistaShares ETFs, for a breakdown of this historic market rally. 💥 Topics Covered: 🔹 How the tariff pause could reignite a bull market 🔹 Short-term vs long-term investor reactions to the new tariff strategy 🔹 Exclusive look at VistaShares’ latest ETF launches: AIS (Artificial Intelligence Supercycle ETF): Tapping into the AI infrastructure boom, semiconductors & data centers OMAH (Target 15 Berkshire Select Income ETF): Built on Buffett-style investing, paired with income-generating options strategies 📊 Whether you're a seasoned investor or just getting started, this episode delivers actionable insight, market foresight, and ETF innovation you won’t want to miss. 🔔 Subscribe to CrossCheck Media for more expert commentary and real-time financial coverage. 🔗 Website: https://crosscheckmanagement.com/ 📧 Contact on Email: [email protected] 📱 Follow us for real-time updates: LinkedIn: / crosscheck-media-llc Instagram: / crosscheckmedia Facebook: / crosscheckmedia 🔍 SEO-Optimized Keywords (for better discoverability!) dow jones 2025 rally, trump tariff news, market reaction to tariffs, buy hold sell podcast, adam patti vistashares, ais artificial intelligence etf, omah berkshire income etf, tariff pause stock market, ai investing etf 2025, data center investments, semiconductor etf 2025, best income etf 2025, warren buffett portfolio strategy, stock market surge analysis, new etf launches 2025, trade war stock impact, investing during volatility, todd schoenberger podcast, tobin smith analysis, crosscheck media investing 📢 Hashtags for Reach & Engagement #BuyHoldSell, #AdamPatti, #VistaShares, #AIS, #OMAH, #DowJones, #MarketRally, #TariffPause, #TradeWar, #Investing, #AIETF, #BerkshireHathaway, #ToddSchoenberger, #TobinSmith, #StockMarket, #FinancialNews, #ETFStrategy, #InvestorTips, #MarketSurge, #CrossCheckMedia

Apr 12, 202523 min

Historic Market Rally: Dow Soars Nearly 3,000 Points Amid Tariff Pause | Insights with Adam Patti

📈 Historic Market Rally: Dow Soars Nearly 3,000 Points Amid Tariff Pause | Insights with Adam Patti On April 9, 2025, the Dow Jones soared nearly 3,000 points after President Trump announced a 90-day pause on most tariffs, while simultaneously raising tariffs on Chinese imports to 125%. In this powerful episode of Buy Hold Sell, co-hosts Todd M. Schoenberger and Tobin Smith welcome Adam Patti, CEO of VistaShares ETFs, for a breakdown of this historic market rally. 💥 Topics Covered: 🔹 How the tariff pause could reignite a bull market 🔹 Short-term vs long-term investor reactions to the new tariff strategy 🔹 Exclusive look at VistaShares’ latest ETF launches: AIS (Artificial Intelligence Supercycle ETF): Tapping into the AI infrastructure boom, semiconductors & data centers OMAH (Target 15 Berkshire Select Income ETF): Built on Buffett-style investing, paired with income-generating options strategies 📊 Whether you're a seasoned investor or just getting started, this episode delivers actionable insight, market foresight, and ETF innovation you won’t want to miss. 🔔 Subscribe to CrossCheck Media for more expert commentary and real-time financial coverage. 🔗 Website: https://crosscheckmanagement.com/ 📧 Contact on Email: [email protected] 📱 Follow us for real-time updates: LinkedIn: / crosscheck-media-llc Instagram: / crosscheckmedia Facebook: / crosscheckmedia 🔍 SEO-Optimized Keywords (for better discoverability!) dow jones 2025 rally, trump tariff news, market reaction to tariffs, buy hold sell podcast, adam patti vistashares, ais artificial intelligence etf, omah berkshire income etf, tariff pause stock market, ai investing etf 2025, data center investments, semiconductor etf 2025, best income etf 2025, warren buffett portfolio strategy, stock market surge analysis, new etf launches 2025, trade war stock impact, investing during volatility, todd schoenberger podcast, tobin smith analysis, crosscheck media investing 📢 Hashtags for Reach & Engagement #BuyHoldSell, #AdamPatti, #VistaShares, #AIS, #OMAH, #DowJones, #MarketRally, #TariffPause, #TradeWar, #Investing, #AIETF, #BerkshireHathaway, #ToddSchoenberger, #TobinSmith, #StockMarket, #FinancialNews, #ETFStrategy, #InvestorTips, #MarketSurge, #CrossCheckMedia

Apr 12, 202523 min

Navigating Market Turmoil: Jeffrey Hirsch & Sam Stovall Analyze Post-Tariff Sell-Off | WealthWise

Join WealthWise host Jeffrey Hirsch, Editor-in-Chief of The Stock Trader's Almanac, as he delves into the stock market's sharp decline following recent tariff announcements. In this episode, Jeffrey shares three pivotal charts illustrating historical market reactions to past tariffs, providing essential context for today's investors. Special guest Sam Stovall, Chief Investment Strategist at CFRA Research, offers his perspective on the current sell-off and what investors might anticipate in the near future. Drawing from historical precedents, Sam highlights potential pitfalls and opportunities, equipping viewers with the knowledge to navigate the current market volatility. #WealthWise #JeffreyHirsch #SamStovall #StockMarketAnalysis #TariffImpact #MarketVolatility #StockTradersAlmanac #CFRAResearch #InvestingInsights #MarketSellOff #HistoricalMarketTrends #TariffTurmoil #InvestorEducation #FinancialPodcast #MarketHistory #TradingStrategies #CrossCheckMedia #BTT #BizTalkTodayTV #ToddSchoenberger

Apr 11, 202543 min

Navigating Market Turmoil: Jeffrey Hirsch & Sam Stovall Analyze Post-Tariff Sell-Off | WealthWise

Join WealthWise host Jeffrey Hirsch, Editor-in-Chief of The Stock Trader's Almanac, as he delves into the stock market's sharp decline following recent tariff announcements. In this episode, Jeffrey shares three pivotal charts illustrating historical market reactions to past tariffs, providing essential context for today's investors. Special guest Sam Stovall, Chief Investment Strategist at CFRA Research, offers his perspective on the current sell-off and what investors might anticipate in the near future. Drawing from historical precedents, Sam highlights potential pitfalls and opportunities, equipping viewers with the knowledge to navigate the current market volatility. #WealthWise #JeffreyHirsch #SamStovall #StockMarketAnalysis #TariffImpact #MarketVolatility #StockTradersAlmanac #CFRAResearch #InvestingInsights #MarketSellOff #HistoricalMarketTrends #TariffTurmoil #InvestorEducation #FinancialPodcast #MarketHistory #TradingStrategies #CrossCheckMedia #BTT #BizTalkTodayTV #ToddSchoenberger

Apr 9, 202543 min

Navigating Market Turbulence: Sylvia Jablonski Discusses Defiance ETFs Amid Stock Market Crash

In this compelling episode of Buy Hold Sell, co-hosts Tobin Smith and Todd M. Schoenberger are joined by Sylvia Jablonski, CEO and CIO of Defiance ETFs, for an in-depth discussion recorded on April 3, 2025—the day following President Trump's "Liberation Day" tariff announcements, which led to a significant stock market downturn. Broadcasting from the floor of the New York Stock Exchange, the trio analyzes the market's reaction to the new tariff strategy and provides insights into potential movements in the coming trading sessions.​ Amidst the market volatility, Sylvia introduces Defiance ETFs' latest offerings:​ ELON (Battleshares TSLA vs F ETF): This innovative ETF pairs a leveraged long position in Tesla (TSLA) with a short position in Ford (F), allowing investors to capitalize on the performance disparity between the two automotive giants. GLDY (Defiance Gold Enhanced Options Income ETF): Launched on April 2, 2025, GLDY offers investors exposure to gold bullion price movements combined with an options strategy aimed at enhancing income potential. SMCZ (Defiance Daily Target 2X Short SMCI ETF): This leveraged ETF seeks to deliver twice the inverse daily performance of Super Micro Computer, Inc. (SMCI), providing traders with amplified short exposure. RGTX (Defiance Daily Target 2X Long RGTI ETF): Introduced on April 1, 2025, RGTX aims for twice the daily performance of Rigetti Computing, Inc. (RGTI), offering leveraged exposure to this leader in quantum computing technology. Sylvia elaborates on the strategic objectives behind these ETFs and how they align with current market dynamics. Don't miss this timely conversation that bridges immediate market reactions with innovative investment strategies.​ #DefianceETFs #SylviaJablonski #BuyHoldSell #StockMarketCrash #Tariffs #ELON #GLDY #SMCZ #RGTX #Tesla #Ford #GoldInvesting #LeveragedETFs #QuantumComputing #InvestmentStrategies #MarketAnalysis #ToddSchoenberger #TobinSmith #NYSE #FinancialNews #CrossCheckMedia #NYSE #NewYorkStockExchange #BTT #BizTalkTodayTV

Apr 6, 202536 min

Reed Dickens on Revolutionizing Golf: LA Golf's Journey and Future Plans

In this special "CEO Spotlight" episode of Buy Hold Sell, host Todd M. Schoenberger, CEO of CrossCheck Media Inc., engages in a compelling conversation with Reed Dickens, Founder and CEO of LA Golf, directly from the floor of the New York Stock Exchange. Dickens shares the inspiring story of LA Golf's inception, its evolution into a cutting-edge force in the golf industry, and the strategic partnerships with top golfers like Bryson DeChambeau and Dustin Johnson that have solidified its position as a major player in the market.​ The discussion also delves into the broader golf industry's impressive growth trajectory, with the global golf equipment market valued at approximately $7.48 billion in 2022 and projected to expand at a compound annual growth rate (CAGR) of 5.0% from 2023 to 2030. Amidst this flourishing landscape, Dickens unveils plans for the upcoming 'LA Golf Lifestyle' brand, set to launch in 2026, aiming to redefine the intersection of sports and lifestyle.​ Don't miss this insightful episode that explores innovation, strategic growth, and the future of golf.​ #ReedDickens #LAGolf #BuyHoldSell #GolfIndustry #GolfEquipment #BrysonDeChambeau #DustinJohnson #GolfLifestyle #ToddSchoenberger #NYSE #GolfMarketGrowth #SportsInnovation #CEOInterview #GolfTechnology #LAGolfLifestyle #GolfMarketTrends #NewYorkStockExchange #BTT #BizTalkTodayTV #CrossCheckMedia

Apr 5, 202513 min

Reed Dickens on Revolutionizing Golf: LA Golf's Journey and Future Plans

In this special "CEO Spotlight" episode of Buy Hold Sell, host Todd M. Schoenberger, CEO of CrossCheck Media Inc., engages in a compelling conversation with Reed Dickens, Founder and CEO of LA Golf, directly from the floor of the New York Stock Exchange. Dickens shares the inspiring story of LA Golf's inception, its evolution into a cutting-edge force in the golf industry, and the strategic partnerships with top golfers like Bryson DeChambeau and Dustin Johnson that have solidified its position as a major player in the market.​ The discussion also delves into the broader golf industry's impressive growth trajectory, with the global golf equipment market valued at approximately $7.48 billion in 2022 and projected to expand at a compound annual growth rate (CAGR) of 5.0% from 2023 to 2030. Amidst this flourishing landscape, Dickens unveils plans for the upcoming 'LA Golf Lifestyle' brand, set to launch in 2026, aiming to redefine the intersection of sports and lifestyle.​ Don't miss this insightful episode that explores innovation, strategic growth, and the future of golf.​ #ReedDickens #LAGolf #BuyHoldSell #GolfIndustry #GolfEquipment #BrysonDeChambeau #DustinJohnson #GolfLifestyle #ToddSchoenberger #NYSE #GolfMarketGrowth #SportsInnovation #CEOInterview #GolfTechnology #LAGolfLifestyle #GolfMarketTrends #NewYorkStockExchange #BTT #BizTalkTodayTV #CrossCheckMedia

Apr 5, 202512 min

Navigating Market Turbulence: Sylvia Jablonski Discusses Defiance ETFs Amid Stock Market Crash

In this compelling episode of Buy Hold Sell, co-hosts Tobin Smith and Todd M. Schoenberger are joined by Sylvia Jablonski, CEO and CIO of Defiance ETFs, for an in-depth discussion recorded on April 3, 2025—the day following President Trump's "Liberation Day" tariff announcements, which led to a significant stock market downturn. Broadcasting from the floor of the New York Stock Exchange, the trio analyzes the market's reaction to the new tariff strategy and provides insights into potential movements in the coming trading sessions.​ Amidst the market volatility, Sylvia introduces Defiance ETFs' latest offerings:​ ELON (Battleshares TSLA vs F ETF): This innovative ETF pairs a leveraged long position in Tesla (TSLA) with a short position in Ford (F), allowing investors to capitalize on the performance disparity between the two automotive giants. GLDY (Defiance Gold Enhanced Options Income ETF): Launched on April 2, 2025, GLDY offers investors exposure to gold bullion price movements combined with an options strategy aimed at enhancing income potential. SMCZ (Defiance Daily Target 2X Short SMCI ETF): This leveraged ETF seeks to deliver twice the inverse daily performance of Super Micro Computer, Inc. (SMCI), providing traders with amplified short exposure. RGTX (Defiance Daily Target 2X Long RGTI ETF): Introduced on April 1, 2025, RGTX aims for twice the daily performance of Rigetti Computing, Inc. (RGTI), offering leveraged exposure to this leader in quantum computing technology. Sylvia elaborates on the strategic objectives behind these ETFs and how they align with current market dynamics. Don't miss this timely conversation that bridges immediate market reactions with innovative investment strategies.​ #DefianceETFs #SylviaJablonski #BuyHoldSell #StockMarketCrash #Tariffs #ELON #GLDY #SMCZ #RGTX #Tesla #Ford #GoldInvesting #LeveragedETFs #QuantumComputing #InvestmentStrategies #MarketAnalysis #ToddSchoenberger #TobinSmith #NYSE #FinancialNews #CrossCheckMedia #NYSE #NewYorkStockExchange #BTT #BizTalkTodayTV

Apr 5, 202532 min

Market Sell-Off, Auto Tariffs & Alternative Investments: Scott Ladner Breaks It Down | Buy Hold Sell

In this episode of Buy Hold Sell, co-hosts Todd M. Schoenberger and Tobin Smith welcome back Scott Ladner, Chief Investment Officer at Horizon Investments. Recorded on Wednesday, March 26, 2025, the discussion delves into the day's significant market sell-off, with all major indices experiencing declines. Scott provides expert analysis on the factors driving the downturn, including concerns over potential auto tariffs announced by President Trump, which have heightened market uncertainty. ​ The conversation also explores how clients are reacting to the current volatility and uncertainty permeating Wall Street. Scott shares insights into investor sentiment and strategies to navigate these turbulent times.​ Additionally, the trio discusses favored sectors to consider in the current environment, offering perspectives on opportunities amidst the market turmoil. The dialogue extends to alternative investments, including gold and cryptocurrencies, examining their roles as potential hedges against market instability.​ For a lighter segment, Todd, Tobin, and Scott share their predictions for the NCAA Men's Basketball Championship, adding a touch of sports enthusiasm to the financial discourse.​ #BuyHoldSell #StockMarketAnalysis #ScottLadner #HorizonInvestments #MarketVolatility #InvestmentStrategies #GoldInvestment #Cryptocurrency #NCAABasketball #FinancialPodcast #ToddSchoenberger #TobinSmith #MarketSellOff #InvestorSentiment #AlternativeInvestments #BizTalkTodayTv #BTT #CrossCheckMedia

Mar 31, 202530 min

Mastering Market Volatility: Options Strategies with Danielle Shay

In this episode of Buy Hold Sell, co-hosts Todd M. Schoenberger and Tobin Smith are joined by Danielle Shay, Director of Options at Simpler Trading. Recorded on Thursday, March 27, 2025, the trio delves into the previous day's market turbulence following President Donald Trump's announcement of a 25% tariff on imported automobiles, a move that sent shockwaves through the automotive sector and broader market. ​ Danielle provides an in-depth technical analysis of Tesla (TSLA), highlighting its position within her proprietary "Earnings Hot Zone," a tool designed to identify stocks with strong potential for profitable earnings plays. She also shares pre-earnings trading patterns for Netflix (NFLX), Amazon (AMZN), and JPMorgan Chase (JPM), offering listeners actionable insights into these major stocks.​ The conversation extends to the rising price of gold, with Danielle analyzing its chart patterns and discussing its role as a safe-haven asset amid market volatility. This episode is a technical deep dive, providing traders and investors with valuable strategies to navigate uncertain times. #OptionsTrading #DanielleShay #TeslaAnalysis #EarningsHotZone #StockMarketVolatility #Netflix #Amazon #JPMorganChase #GoldInvestment #BuyHoldSellPodcast #MarketAnalysis​ #OptionsTrading #TeslaStock #NetflixStock #AmazonStock #JPMorgan #GoldInvestment #StockMarket #TechnicalAnalysis #Investing #Trading #Finance #MarketVolatility #EarningsSeason #StockAnalysis #FinancialEducation #DayTrading #SwingTrading #Crypto #Bitcoin #Forex #TobinSmith #ToddSchoenberger #ToddMSchoenberger #CrossCheckMedia #BizTalkTodayTV #BTT

Mar 29, 202539 min

Mastering Market Volatility: Options Strategies with Danielle Shay

In this episode of Buy Hold Sell, co-hosts Todd M. Schoenberger and Tobin Smith are joined by Danielle Shay, Director of Options at Simpler Trading. Recorded on Thursday, March 27, 2025, the trio delves into the previous day's market turbulence following President Donald Trump's announcement of a 25% tariff on imported automobiles, a move that sent shockwaves through the automotive sector and broader market. ​ Danielle provides an in-depth technical analysis of Tesla (TSLA), highlighting its position within her proprietary "Earnings Hot Zone," a tool designed to identify stocks with strong potential for profitable earnings plays. She also shares pre-earnings trading patterns for Netflix (NFLX), Amazon (AMZN), and JPMorgan Chase (JPM), offering listeners actionable insights into these major stocks.​ The conversation extends to the rising price of gold, with Danielle analyzing its chart patterns and discussing its role as a safe-haven asset amid market volatility. This episode is a technical deep dive, providing traders and investors with valuable strategies to navigate uncertain times. #OptionsTrading #DanielleShay #TeslaAnalysis #EarningsHotZone #StockMarketVolatility #Netflix #Amazon #JPMorganChase #GoldInvestment #BuyHoldSellPodcast #MarketAnalysis​ #OptionsTrading #TeslaStock #NetflixStock #AmazonStock #JPMorgan #GoldInvestment #StockMarket #TechnicalAnalysis #Investing #Trading #Finance #MarketVolatility #EarningsSeason #StockAnalysis #FinancialEducation #DayTrading #SwingTrading #Crypto #Bitcoin #Forex #TobinSmith #ToddSchoenberger #ToddMSchoenberger #CrossCheckMedia #BizTalkTodayTV #BTT

Mar 28, 202538 min