The podcast addresses current market dynamics and investment strategies for 2026, emphasizing geopolitical volatility and its impact on capital flows. It explores sector-specific opportunities and risks, recommending precious metals and selective technology investments while cautioning against consumer staples due to debt and inflation. Listeners' questions drive discussions on portfolio allocation, energy sector investments (Equinor vs. Energy Transfer), and individual stock analysis (Franco-Nevada, Signet Jewelers, Paymentus, and Klarna). The host dismisses fears of a deflationary crisis, asserting that inflation and government intervention remain the primary market forces. The episode concludes with concerns about the condo market as a leading indicator of a broader housing market correction.
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