Financials Are Warning Something Is Wrong: Oil, AI and Credit Are Colliding
Jordi Visser
The podcast focuses on navigating a complex investment landscape influenced by AI disruption, credit concerns, and geopolitical tensions. It emphasizes the need to move beyond binary thinking and prepare for market volatility. The speaker highlights the turbulence model for measuring P&L changes in leveraged strategies and points out the financial sector's weakness as a concerning indicator. Rising oil prices and their impact on inflation, coupled with redemptions in private credit, are also discussed as factors creating uncertainty. OpenClaw's potential to revolutionize software development and the shift towards AI agents are presented as key trends, with a cautionary note on the sustainability of SaaS business models. The speaker advocates for a trading mentality, advising listeners to focus on sectors like IT services, cybersecurity, and specific companies poised to thrive in the evolving environment.
Part 1: Market Complexity and Macro Risks
Part 2: Credit Cracks and Contagion
Part 3: AI Disruption and Labor
Part 4: Enterprise AI and Software Shifts
Part 5: Geopolitics and Outlook
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