
In this episode of Motley Fool Money, Travis Hoium, Jon Quast, and Emily Flippen discuss the current state of the stock market, addressing whether the peak for 2025 has already passed. They analyze various factors influencing market performance, including layoffs, tariffs, consumer spending, and the impact of AI. The panel explores potential investment strategies in the face of a possible market downturn, debating whether to hold steady, raise cash, or take advantage of bargains. They also examine the bond market, particularly Oracle's recent bond performance, and discuss the implications of debt-fueled AI investments. Finally, they play a game of "Calls and Puts," selecting stocks for leveraged positions, and analyze potential acquisitions in the streaming wars, ending with stocks on their radar: Disney (DIS) and C Limited (SE).
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