
Wall Street Unplugged - What's Really Moving These Markets
1,187 episodes — Page 23 of 24

S1 Ep 87Ep. 88 - Jim Rogers Unplugged
Legendary investor, author and billionaire Jim Rogers talks about the destruction of the dollar, the one commodity he's buying right now, and his favorite short. Jim also talks about investing in one of the most unstable countries in the world.

S1 Ep 86Ep. 87 - The Future For LNG Is Now
Chris Mayer, editor of the Capital & Crisis newsletter, talks about the huge demand coming for liquefied natural gas (LNG). Frank breaks down Chesapeake’s $150 million investment to build LNG fueling stations.

S1 Ep 85Ep. 86 - Finding Income in Today's Environment
Dan Ferris, editor of the Extreme Value and The 12% Letter newsletters, talks about his favorite value plays. Dan also breaks down Greece, the economy, and shows us where to find strong yields.

S1 Ep 84Ep. 85 - Why Stocks Remain the Best Asset Class
ValuEngine’s chief market strategist, Rich Suttmeier, breaks down housing and the economy. Frank talks about stocks you should be buying right now.

S1 Ep 83Ep. 84 - Two Gurus Are Buying Stocks Right Now
Stephanie Link, Director of Research at TheStreet.com, sees a repeat of last summer's sell-off. Lou Basenese, founder of The White Cap Research Group, talks about small-caps and where he sees value in today’s market.

S1 Ep 82Ep. 83 - How to Survive in a Bear Market
Frank talks about strategies to protect yourself from a further pullback in stocks. He also breaks down key sentiment indicators, recent economic data and several individual stocks.

S1 Ep 81Ep. 82 - Why This Slowdown May Not Be Temporary
Frank discusses the latest pullback in stocks and how economists seem too optimistic about second-half growth. Matt Badilai, editor of S&A's Resource Report is optimistic on natural gas but cautious on oil.

S1 Ep 80Ep. 81 - Are Stocks The Best Asset Class?
Tom Dyson, former editor of the 12% Letter at S&A, talks about his new income generating project. Frank breaks down the economy and inflated earnings estimates for S&P 500 companies.

S1 Ep 79Ep. 80 - It's Time To Buy Gold Stocks
Gold Stock Analyst editor John Doody sees huge opportunities in large-cap gold stocks. S&A’s Short Report and Advanced Income editor Jeff Clark is also bullish gold stocks and shares several option strategies with us.

S1 Ep 78Ep. 79 - Stocks Hovering At Key Technical Levels
The Disciplined Investor’s Andrew Horowitz breaks down the charts on the S&P 500 and Russell 2000. Frank talks about the headwinds small-caps face in the short-term.

S1 Ep 77Ep. 78 - Searching for Catalysts After Earnings Season
Extreme Value and 12% Letter editor Dan Ferris says cash is not a bad strategy right now. Alex Green, Investment Director at the Oxford Club, talks about his new book Beyond Wealth. Alex has one of the best track records in the newsletter industry.

S1 Ep 76Ep. 77 - It's Time To Take Profits
Rich Suttmeier, chief market strategist for Valuengine.com, sees a major pullback in stocks. Frank talks about how to protect profits.

S1 Ep 75Ep. 76 - Looking Beyond the Fed Noise
Franks' guests include S&A Editors Dr. David Eifig and Braden Copeland. Eifrig discusses opportunities in the muni-bond market. Copeland talks about the Fed and what the end of QE2 means for stocks.

S1 Ep 74Ep. 75 - How to Make Money During Earnings Season
Stephanie Link, Director of Research for TheStreet.com, breaks down first quarter earnings season. Frank discusses the recent downgrade of U.S. debt, bank earnings, and his favorite sector to buy right now.

S1 Ep 73Ep. 74 - How to Make Money Trading Currencies
Andrew Hororwitz, host of the Disciplined Investor, talks currencies, the end of QE2, Apple, and the best sectors to invest in today. Frank breaks down Alcoa's weak earnings and tells us why most large-cap banks should be avoided.

S1 Ep 72Ep. 73 - Sell in May and Go Away?
Frank and Keith Fitz-Gerald discuss the possibility of a major pullback in stocks over the next few months. Keith is Chief Investment Strategist at Money Map Press. He has one of the best documented (and most accurate) predictive track records in the investment newsletter business.

S1 Ep 71Ep. 72 - How To Make Money in Small-Cap Stocks
Lou Basenese, small-cap analyst at White Cap Research, shares his top picks. Rich Suttmeier, chief market strategist at Valuengine.com, predicts 1,200 small-cap bank failures.

S1 Ep 70Ep. 71 - Is the Pullback Over?
Former S&A editor Tom Dyson talks about his new Common Sense newsletter. S&A Short Report editor Jeff Clark talks about buying the dollar and shorting copper.
S1 Ep 69Ep. 70 - Uranium Update with Matt Badiali and Investment Secrets from Alex Green
S&A Resource Report Editor Matt Badiali talks about the implications of uranium following the disaster in Japan. Alex Green, Investment Director at The Oxford Club, shares his favorite investment secrets with us.

S1 Ep 68Ep. 69 - Back Up the Truck On Tech?
Tech veteran Chris Umiastowski talks about the explosive growth potential in the tablet market. Extreme Value Editor Dan Ferris tells us why you should back up the truck on MSFT.

S1 Ep 67Ep. 68 - Thoughts from Two of the Best Analysts on Wall Street
Chris Mayer, Editor of Capital and Crisis, gives us the best sectors to find value. Stephanie Link, Director of Research at TheStreet.com, shares her favorite stock picks with Frank.

S1 Ep 66Ep. 67 - Why Oil Prices Could Jump to $120
Andrew Horowitz from The Disciplined Investor tells us the best countries to invest in right now. He also talks with Frank about the impact of higher oil prices, why you should buy stocks on a pullback, and whether stocks are cheap at current levels.

S1 Ep 65Ep. 66 - The End Of America: Part II
Braden Copeland, co-editor of the Stansberry Investment Advisory, talks about the EndofAmerica1.com video - which has been viewed by more than 7 million people. Frank breaks down the markets - and tells us which sector is poised for a pullback.

S1 Ep 64Ep. 65 - How to Play Defense in an Overbought Market
Rich Suttmeier, chief market strategist at Valuengine.com, sees a major pullback in the markets. Dr. David Eifrig, editor of S&A's Retirement Millionaire newsletter, talks about his perfect track record for picking stocks.

S1 Ep 63Ep. 64 - How To Become a Millionaire
A best-selling author and business pioneer joins Frank for a one-on-one exclusive interview. He's been making money for himself and clients for more than four decades following some unconventional, but practical methods. In this segment with Frank, he shares his secrets to becoming a millionaire.

S1 Ep 62Ep. 63 - Time To Sell Momentum Stocks
Jeff Clark, editor of S&A's Short Report options service, tells us why the sell-off in momentum names could lead to a short-term correction. Keith Fitzgerald, chief investment strategist for Money Map Press, talks about the enormous growth opportunities that still exist in China.

S1 Ep 61Ep. 62 - Why You Should Buy Gold Stocks Today
Legendary gold analyst John Doody says gold stocks are a buy on weakness. He also gives his favorite gold picks. Frank breaks down Intel, Citigroup and Apple earnings.

S1 Ep 60Ep. 61 - It's Time To Buy Natural Gas Stocks
Matt Badiali, editor of the S&A Resource Report, says natural gas stocks could make a big run in 2011. Frank breaks down the oil services sector, Alcoa earnings, and suggests why VZ and AT&T are both losers on the iPhone deal.

S1 Ep 59Ep. 60 - Talking Value Strategies with Dan Ferris
Dan Ferris, editor of the Extreme Value newsletter for S&A, says to take profits right now. He also gives his favorite value plays and sectors for 2011.

S1 Ep 58Ep. 59 - How To Make Money in 2011
Frank and Andrew Horowitz from The Disciplined Investor talk about the important lessons learned in 2010, and how politics, economics and emerging markets will send stocks higher in 2011.

S1 Ep 57Ep. 58 - Sentiment Indicators Are Flashing Red
Sentiment Indicators Are Flashing Red Rich Suttmeier, Chief Market Strategist at Valuengine.com, gives us his 2011 outlook for banks and homebuilders. Frank talks about sentiment indicators and answers your questions.

S1 Ep 56Ep. 57 - The End of America
Porter Stansberry, founder of Stansberry Investment Research, talks about his shocking “End of America” video. Chris Mayer, editor of Capital & Crisis and Mayer’s Special Situations, recommends investing in Africa and select rare earth companies. Watch the shocking free video at www.endofamerica1.com

S1 Ep 55Ep. 56 - Why Stocks Will Move Higher in 2011
Alex Green, Chief Investment Strategist at Oxford Club, talks about the Euro/Dollar relationship and why stocks will move higher in 2011. Braden Copeland, co-manager of the Stansberry Investment Advisory, tells us his favorite picks for next year.

S1 Ep 54Ep. 55 - Stop The Bailouts!
Jeff Clark, expert trader from S&A, gives us the best way to play the collapse in Treasuries and rise in the dollar. Frank breaks down the markets and tells you why bailing out the PIIGS nations is a bad idea.

S1 Ep 53Ep. 54 - Should You Buy Stocks On This Pullback?
Stephanie Link, Director of Research at TheStreet.com tells us what companies she's buying after earnings. Also, Frank breaks down sentiment indicators, the markets, and reveals a few new under $10 ideas.

S1 Ep 52Ep. 53 - The Best Of S&A's Alliance Meeting
The Stansberry & Associates annual Alliance conference was in Zurich this week. Frank breaks down all of the S&A editors presentations - including those from Steve Sjuggerud, Dan Ferris, Matt Badiali, a big nat gas insider, and Jeff Clark. Call 866-783-4141 for more info on joining the Alliance.

S1 Ep 51Ep 52 : Why QE-2 Is Not The Answer
Andrew Horowitz from The Disciplined Investor talks about the consequences of QE2 and emerging markets. Dan Ferris, editor of S&A's Extreme Value newsletter, sees massive inflation and a 100% rise in gold prices from current levels.

S1 Ep 50Ep. 51 :: Stock Strategy Session
Lou Basanese, editor of the White Cap Report, gives you his favorite plays in the volatile small-cap space. S&A's Retirement Trader editor David Eifrig shares some of his large-cap option strategies.

S1 Ep 49Ep. 50 :: Why Stocks Are Pricing-In Strong Earnings
Braden Copeland, Co-Editor of the Stansberry Investment Advisory, talks about China's huge growth potential. Marc Lichtenfeld, Editor of the Activist Trader, tells us why following Carl Icahn and Daniel Loeb could make you a lot of money. Also, Frank breaks down earnings and answers your questions.

S1 Ep 48Ep. 49: Why You Should Buy Commodities Today
Byron King, editor of Outstanding Investments newsletter, sees gold prices over $2,000 an ounce. Resource Report editor Matt Badiali is bullish on natural gas and jr. gold miners. Frank gives his analysis on GS, C, FLR, AAPL, GOOG after earnings.

S1 Ep 47Ep. 48 :: Are Stocks A Buy No Matter What?
Rich Suttmeier, chief market strategist at Valuengine.com, talks about QE2 and why bad news is not necessarily good news for stocks. Michael Comeau of Minyanville tells us why Apple is the only tech company you should own. Frank also highlights the best presentations from the Value Investing Congress.

S1 Ep 46Ep. 47 :: Why QE2 May Not Be Great For Stocks
Chris Mayer, editor of the Capital and Crisis newsletter, talks value investing, China and QE2. Stephanie Link, Director of Research, for TheStreet.com tells us what conference calls you should be listening to during earnings season.

S1 Ep 45Ep. 46 :: It's A Girl!
Frank talks about being a dad again. Also, he tells you to ignore the talking heads on CNBC. Buying stocks at these levels - ahead of earnings season is a death wish. Finally - Frank provides pictures and videos from his business trip to China.

S1 Ep 44Ep. 45 :: Frank Curzio Unplugged
Frank breaks down every sector including mining, technology, and housing - telling you his favorite short and long-term stock plays. He also answers readers questions and does a special education segment on Research in Motion and ExxonMobil. Finally, Frank takes 15 minutes to interview value investor veteran Dan Ferris, editor of the Extreme Value newsletter for S&A.

S1 Ep 43Ep. 44 :: Conservative Option Strategies
Lee Lowell, option specialist and editor of The Instant Money Trader, talks about selling puts on America's favorite large-cap companies. David Eifrig, ex-Goldman trader and editor of S&A's Retirement Trader, educates us on LEAPS and covered calls.

S1 Ep 42Ep. 43 :: Trader's Corner
Jeff Clark from Stansberry & Associates and Andrew Horowitz from The Disciplined Investor talk about how to trade the latest market volatility.

S1 Ep 41Ep. 42 - How To Invest in Small-Cap Stocks
White Cap Group's Lou Basenese gives a play by play on how to pick small-cap winners. S&A's Braden Copeland talks China and oil and gas stocks with Frank.

S1 Ep 40Ep 41 :: Live From China!
Frank broadcasts from Shanghai as he visits some of the biggest cities in China. Is the growth for real? Will Chinese commercial real estate collapse? Plus, Stephanie Link, Director of Research at TheStreet.com, talks about recent earnings and several catalysts that could push stocks higher.

S1 Ep 39Ep 40. Talking Stocks with Two Investment Legends
Alex Green, Investment Director at Oxford Club, talks about his "Gone Fishin" strategy, which has outperformed the markets for 10 straight years. John Doody, Editor of the Gold Stock Analyst newsletter, highlights the top mistakes investors make when buying gold.

S1 Ep 38Ep. 39 :: Talking Commodities with Two of the Best
Matt Badiali, editor of the S&A Resource Report, talks about the huge potential for uranium. Jeff Clark, editor of Casey's Gold and Resource Report, explains why these gold and silver stocks belong in your portfolio.