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The Compound · Business

The Compound and Friends

Join Downtown Josh Brown, Michael Batnick, and a rotation of their friends every Tuesday and Friday for expert insight and hot takes on the latest in business and investing. See our disclosures here - https://ritholtzwealth.com/podcast-youtube-disclosures/

Episodes

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Private Credit Is the Fuse, Insurance Companies Are the Bomb with Nick Nemeth

06 Apr 2026
41m
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The private credit market's potential risks, particularly its connection to the life insurance industry, are examined. Nick Nemeth, author of Mispriced Assets, argues that private credit returns appear smoother than they are due to manager-marked valuations, which may not accurately reflect the current economic environ...

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Why Gas Prices Can’t Wreck the Market

03 Apr 2026
1h 13m
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Worst Quarter in 4 Years, Oil vs Stocks, Win Rates From Buying Corrections, the Case for T and VZ

31 Mar 2026
1h 10m
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Never Sell Your Energy Stocks - Nick Colas and Jessica Rabe of DataTrek

30 Mar 2026
29m
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Jonathan Boyar's Favorite Cheap Stocks with Catalysts

27 Mar 2026
1h 13m
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The podcast explores current market conditions through the lens of value investing, questioning whether recent market behavior signals a return to normalcy after an extended period of aberration. The discussion highlights opportunities arising from misunderstood or undervalued stocks, particularly in the tech sector, w...

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Economic Data Deteriorates, Private Credit Struggles, Retail Traders Give Up

24 Mar 2026
1h 0m
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The co-hosts analyze the current economic landscape, highlighting concerns about its direction despite seemingly stable indicators. They point to a "mid" economy potentially worsening, evidenced by decelerating GDP growth, troubling inflation metrics, and a softening labor market, with private payrolls declining when e...

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Are We in a Bear Market?

20 Mar 2026
1h 27m
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The podcast explores the current volatile stock market, marked by unique conditions such as numerous companies experiencing significant share price declines despite the S\&P 500 remaining near all-time highs. The discussion highlights concerns about potential impacts from geopolitical tensions in the Straits of Hormuz,...

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Nvidia GTC Highlights, Uber Is Too Cheap, Cliffwater and the Private Credit Panic

17 Mar 2026
1h 11m
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A Sit-Down with Rick Wurster, CEO of Charles Schwab

13 Mar 2026
43m
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Rick Wurster, President and CEO of Charles Schwab Corporation, discusses Schwab's growth, its support for RIAs, and the evolving financial landscape. Wurster credits Schwab's success to prioritizing clients and supporting advisors, noting the growth in advisory assets and the firm's increasing market share through brea...

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Trump's 10 Commandments for Business

09 Mar 2026
33m
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The podcast explores Donald Trump's leadership strategies through the lens of Jeffrey Sonnenfeld's new book, "Trump's Ten Commandments." Sonnenfeld, a Yale professor and leadership expert, argues Trump's behavior isn't chaotic but follows predictable patterns, such as "divide and conquer," which aims to neutralize pote...

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True or False - Private Credit Is This Generation’s Subprime

06 Mar 2026
1h 16m
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Stocks After an Oil Spike, Internals Gone Wild, Bcred Problems, Nvda Stuck

04 Mar 2026
1h 17m
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The podcast episode centers on market reactions to geopolitical events, particularly focusing on cybersecurity, energy, and software stocks. It highlights CrowdStrike's earnings beat and its potential as an AI security player, alongside Michael Batnick's successful trade. The discussion explores the surprising resilien...

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Getting Ready for the “European Kill Switch”

02 Mar 2026
26m
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The conversation centers on international stock outperformance, particularly in Europe, and the potential for a shift away from reliance on U.S. technology and policy. Matthew Tuttle, CEO and chief investment officer of Tuttle Capital Management, argues that investors are missing the thematic opportunities within inter...

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Data Centers Are the New Fracking

27 Feb 2026
1h 24m
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Stocks in Pre-Crisis Mode, Multiple Compression, the Citrini Crash, Halo Goes Viral

25 Feb 2026
1h 14m
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Big Tech Has Til Year-End…or Else.

23 Feb 2026
27m
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The central question revolves around how long investors will continue to support Big Tech's heavy capital expenditure on AI before demanding tangible returns. Nick Colas argues that Big Tech has approximately 12 months to demonstrate the value of its AI investments, pointing out that stock performance has already plate...

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Looks Like a Bull Market, Feels Like a Crash

20 Feb 2026
1h 8m
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“Unrealized” Capital Gains Tax is Economic Suicide

18 Feb 2026
1h 9m
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Inside the Baddest Hedge Fund in America with Sam Koppelman and Nathaniel Horwitz

13 Feb 2026
1h 6m
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Hunterbrook Media's business model, which combines investigative journalism with financial trading, is the central focus. The discussion explores how Hunterbrook identifies and reports on under-covered stories, aiming to profit from the market impact of their findings. Sam Koppelman and Nathaniel Horwitz detail their a...

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HALO Stocks, Spotify Beats, Robinhood Reports

10 Feb 2026
1h 14m
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The podcast explores the concept of "HALO" (Heavy Assets, Low Obsolescence) stocks as a dominant investing theme in the post-AI era, contrasting them with disruptible, asset-light businesses. It highlights that HALO stocks aren't confined to traditional value or growth sectors, but rather pass a litmus test of whether ...

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