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The Money Mosaic

The Money Mosaic

Your Guide to Financial Mastery and Creative Investment

Pastime Agency

341 episodesEN

Show overview

The Money Mosaic launched in 2024 and has put out 341 episodes in the time since. That works out to roughly 60 hours of audio in total. Releases follow a near-daily cadence, with the show now in its 2nd season.

Episodes typically run under ten minutes — most land between 6 min and 13 min — though episode length varies meaningfully from one episode to the next. None of the episodes are flagged explicit by the publisher. It is catalogued as a EN-language Business show.

There hasn’t been a new episode in the last ninety days; the most recent episode landed 5 months ago. The busiest year was 2025, with 296 episodes published. Published by Pastime Agency.

Episodes
341
Running
2024–2025 · 1y
Median length
9 min
Cadence
Near-daily

From the publisher

The Money Mosaic is your go-to podcast for a diverse blend of financial insights and artistic exploration brought together for you by AI (artificial intelligence). Join us every Monday and Saturday for Portfolio Update as we focus on a selected shares and index funds, offering expert advice and in-depth discussions to help you make informed investment decisions. On Tuesdays and Fridays we delve into the dynamic world of forex trading, providing you with the latest trends, strategies, and market analysis to help you navigate the forex landscape with confidence. Finally, unwind with us on Sundays as we explore the vibrant world of alternative investment, celebrating creativity and its intersection with finance. Whether you're a seasoned investor or just starting out, The Money Mosaic has something for everyone. Tune in and enrich your financial and artistic journey with us!

Latest Episodes

View all 341 episodes

S2 Ep 35London Session Sets Tone for Potential EUR/USD Breakout

Data-driven London FX snapshot: EUR/USD, GBP/USD, USD/JPY in focus; traders await CPI/PMI, cautious positioning, possible breakout or retest; risk management emphasized. 📈💹🗞️🔎💼

Dec 5, 202516 min

S2 Ep 34Central Bank Signals and Data Prints Shape FX Movements

Policy tone and data prints drive FX moves across EURUSD, GBPUSD, and USDJPY; EURUSD remains range-bound 📈💶, GBPUSD sensitive to BoE and energy 💷⚡, USDJPY reacts to yields 📈💴. Traders eye inflation 🧾, payrolls 💼, and central bank minutes 🕰️ for the next leg.

Dec 3, 20256 min

S2 Ep 33Mega-Cap Tech Leads the Focus ETF Higher This Week

Deborah and Kieran dissect the Focus ETF, led by mega-cap tech (Apple, Microsoft, Nvidia, Alphabet) with VUAG anchoring risk assets. Technicals show support near £63–£64 and resistance around £66–£70; Nvidia and MSFT momentum is a tailwind. Macro factors—AI demand, FX dynamics, and geopolitical dynamics—shape the outlook. The team keeps a conservative stance with a 5% risk cap and a short-to-medium horizon, anticipating a continued risk-on tilt and selective upside. 🧭📈💡🌐🧠💹

Nov 29, 202513 min

S2 Ep 32Policy Whispers and Data Surprises Drive Currency Moves

Summary: London trading navigates data surprises and policy whispers shaping EUR/USD, GBP/USD, and USD/JPY moves. Macro trends, central bank rhetoric, and geopolitics drive cautious risk sentiment and hedging. Traders seek disciplined setups with risk controls for potential breakouts. 💹📈💱🧭🔎

Nov 25, 20258 min

S2 Ep 31VUAG and MSFT Anchor AI-Driven Momentum Portfolio

Deborah and Kieran analyze a momentum-focused Focus ETF lineup (VUAG, MSFT, NVDA, BA, BAKK, CCJI), highlighting AI megacap drivers, macro context, technical setups, and a cautious 5% risk stance with 3‑month upside projections. 📈🤖🌍💼📊

Nov 24, 202513 min

S2 Ep 30Momentum in AI mega-cap tech; breakout signals and risk discipline

Deborah and Kieran analyze the Focus ETF portfolio (VUAG, MSFT, NVDA, BA, BAKK, CCJI), highlighting AI mega-cap momentum, positive fund flows, and a disciplined 5% risk framework for short-to-mid-term goals. They outline breakout signals above key levels, note macro drivers and regional dynamics, and discuss correlations to tech leadership. Stay tuned for Sunday specials on alternatives and regular updates. 🚀📈🌐🔒

Nov 22, 202513 min

S2 Ep 29Macro Data Drives London FX Moves Across Major Pairs

Deborah and Kieran map how macro data, central bank cues, and risk mood drive London-session FX across EUR/USD, GBP/USD, and USD/JPY. They flag data surprises, liquidity dynamics, and pullback-based entries with disciplined risk controls. 📈💱🌍🕒⚖️

Nov 21, 20257 min

S2 Ep 28Euro resilience dominates as yields recalibrate USD moves

London session: EUR/USD in a tight range as eurozone data steers euro and US yields 💶💹. EUR resilience shows when data beats; USD strengthens on surprises 💵📈. Liquidity is solid and hedges remain in the mix 🧊🛡️; traders eye a range break with tight stops 🔒. GBP/USD and USD/JPY themes mirror UK data and BoJ/BoE cues 🏦🇬🇧🇯🇵. Geopolitics stay a wildcard 🌍⚠️. Stay tuned for updates via the usual channels 📬.

Nov 18, 20256 min

S2 Ep 27Tech Leadership and AI Rally With Disciplined 5% Risk Cap

Deborah and Kieran analyze a Focus ETF lineup: VUAG plus MSFT, NVDA, BA, BAKK, CCJI, highlighting AI-driven tech momentum, macro liquidity, and a strict 5% risk cap. They discuss levels, top holdings, and 1-3 month targets, with a cautious but constructive outlook on a tech-led rally. 🚀📈🤖💼💰🌐

Nov 17, 202513 min

S2 Ep 26Structured UK Alternatives with Clear Entry/Exit Bands

UK market snapshot 💷💱 and macro backdrop, followed by sector reviews: crypto 🪙, UK REITs 🏢, green energy ♻️, P2P 💳, VC 🚀, and listed PE 🏦. Clear entry/exit bands, allocations, and risk controls guide week-47 positioning 📊🔒, with 3- and 6-month scenarios for risk-adjusted returns 📈.

Nov 16, 202519 min

S2 Ep 25Focus ETF Powers Higher in Tech and AI Rally

Deborah and Kieran break down the Focus ETF journey, led by AI/tech momentum (VUAG) with MSFT, NVDA, and megacaps driving gains. They map key levels, macro/FX drivers, and risk discipline within a 5% framework. 📈💼🌍🔎💰

Nov 15, 202512 min

S2 Ep 24Cautious, data-driven macro cues guide major FX moves

Data-driven macro cues keep FX ranges tight as US inflation cools and eurozone activity improves 🇺🇸🇪🇺. EUR/USD, GBP/USD, and USD/JPY hover in cautious, range-bound moves ahead of weekend risk 🧭💱. Traders balance risk controls, liquidity, and central-bank signals in anticipation of upcoming data and headlines 📊🔒.

Nov 14, 20258 min

S2 Ep 23Diverging rate paths and macro cues drive London FX

London FX pivots on diverging rate paths, macro cues, and risk sentiment across EUR/USD, GBP/USD, and USD/JPY, with data, central-bank messaging, and inter-market links guiding intraday moves. 💹📈🌍💱🇪🇺🇬🇧🇯🇵

Nov 11, 20257 min

S2 Ep 22Tech Megacaps Drive Momentum Within 5% Risk Framework

Deborah and Kieran dissect a 5-name focus portfolio led by VUAG, MSFT, and NVDA, with defense (BA) and UK/Japan exposures (BAKK, CCJI). The discussion highlights constructive momentum, tech leadership, and AI-driven earnings resilience, tempered by USD/GBP FX and macro risk. Technically, support and resistance levels frame a Buy bias for VUAG and MSFT and strong upside for NVDA, with ~7–15% three-month projections. The team reinforces a 5% risk cap and stressed monitoring of rate, inflation, and policy shifts as week 46 unfolds. 📈💹🧭💼🌐🤖🇬🇧🛡️

Nov 10, 202513 min

S2 Ep 21Tech leadership and AI-driven demand lifts markets

Tech leadership and AI-driven demand push equities higher, led by VUAG, MSFT, and NVDA. The hosts discuss macro context, sector exposure, and disciplined 5% risk management across a mix of stocks and ETFs. Short-term setups favour buying dips near supports with upside breakouts, underpinning a constructive 3-month outlook (+6–9% for VUAG, +12–18% for MSFT, +15–25% for NVDA). 🔍💹🛡️

Nov 8, 202513 min

S2 Ep 20Dollar sensitivity to risk appetite and growth surprises

🌍 Market overview: macro prints and risk sentiment keep FX in tight ranges as weekend risk approaches. 💶 EUR/USD remains range-bound, flashing mean-reversion signals after moves. 💷 GBP/USD is data-dependent, driven by UK prints and the BoE path. 💴 USD/JPY tracks US yields and BOJ commentary as a key yield-differential proxy. 📈 Inter-market signals show dollar sensitivity to risk appetite; a fade in global growth surprises could reassert dollar strength. 🧭 Short-term trade ideas and calendar watch for eurozone inflation, UK GDP revisions, and US employment data.

Nov 7, 20257 min

S2 Ep 19Euro Strengthens as US Yields Retreat in London Session

London session recap: EUR/USD above 1.10 as US yields retreat; GBP/USD eyes a breakout near 1.2650; USD/JPY around 160 with data and policy cues in focus. Macro drivers—diverging policy paths, euro-area resilience, energy dynamics—shape a risk-on tilt, with intraday liquidity concentrated in London. 📈💶🇬🇧💹🛢️

Nov 4, 20259 min

S2 Ep 18Mega-cap Tech Momentum and Flows Support Portfolio Upside

Deborah and Kieran dissect a focused six-name portfolio (VUAG, MSFT, NVDA, BA, BAKK, CCJI), emphasizing mega-cap tech momentum and positive fund flows driving upside 📈💹. They lay out technical levels, risk controls, and a pragmatic path for entry/exit, tied to macro drivers like rates, USD, and regional cues 🌍🛡️. The conversation weaves chart signals with macro context to navigate a tech-led recovery in equities 📊🧭.

Nov 3, 202516 min

S2 Ep 17Tech leadership and regional diversification anchor a disciplined 5% portfolio

Summary: Tech leadership fuels a diversified 5% portfolio anchored by VUAG, with mega-cap drivers (MSFT, NVDA) and regional tilts (BAE, BAKK, CCJI). Key levels and breakout potential guide entries, while risk controls keep pullback entries in play. Macro and currency dynamics—especially USD strength vs GBP—shape returns. Three-month bias remains constructive on breadth in tech. 🚀📈💼🌐🇬🇧🇯🇵💹

Nov 1, 202515 min

S2 Ep 16Data-Driven FX Outlook: Await Breakouts with Tight Risk Controls

London session frames a data-driven, cautious FX mood 📊💹. EUR/USD edges higher on modest eurozone data while US policy expectations drift lower 💶📉. USD/JPY remains range-bound as BoJ policy interacts with US yield moves 💴🇯🇵. GBP/USD persists in a broad range with data dependence and caution around liquidity 🔍💷. Traders watch liquidity, hedges, and option skew for early signals of breakouts ⏳🔎. Key calendar events (US CPI, UK inflation, ECB commentary) could recalibrate the path, with risk controls and predefined levels frontline in trade planning 📆⚖️.

Oct 31, 20258 min
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