On this insightful episode of Buy Hold Sell, co-hosts Todd M. Schoenberger and Tobin Smith are joined by Rhys Williams, CFA, Chief Strategist and Portfolio Manager at Wayve Capital just outside Philadelphia. Rhys compares today’s fundraising landscape to the dot-com era—recalling the 1995 Pets.com collapse—shares his bullish outlook on the AI-led market rally, and explains why holding cash reserves is vital amid possible corrections. They dive deep into hot topics: tariff...
Jul 06, 2025•29 min
On this insightful episode of Buy Hold Sell, co-hosts Todd M. Schoenberger and Tobin Smith are joined by Rhys Williams, CFA, Chief Strategist and Portfolio Manager at Wayve Capital just outside Philadelphia. Rhys compares today’s fundraising landscape to the dot-com era—recalling the 1995 Pets.com collapse—shares his bullish outlook on the AI-led market rally, and explains why holding cash reserves is vital amid possible corrections. They dive deep into hot topics: tariffs’ impact on inflation, ...
Jul 05, 2025•30 min
Fernando Valle on Oil Crash, A.I. Energy, Strait of Hormuz & Cease‑Fire In this timely episode of Buy Hold Sell, Hedgeye Energy Head Fernando Valle, CFA, joins hosts Todd M. Schoenberger and Tobin Smith to analyze a 7% plunge in oil prices and the transformative role of AI in energy job creation. He offers a geopolitical update: the recent Israel–Iran cease‑fire agreement has driven oil futures lower and pushed markets back to pre-conflict levels. Valle explores the Strait ...
Jun 28, 2025•30 min
Fernando Valle on Oil Crash, A.I. Energy, Strait of Hormuz & Cease‑Fire In this timely episode of Buy Hold Sell, Hedgeye Energy Head Fernando Valle, CFA, joins hosts Todd M. Schoenberger and Tobin Smith to analyze a 7% plunge in oil prices and the transformative role of AI in energy job creation. He offers a geopolitical update: the recent Israel–Iran cease‑fire agreement has driven oil futures lower and pushed markets back to pre-conflict levels. Valle explores the Strait of Hor...
Jun 28, 2025•30 min
In this explosive clip from Buy Hold Sell, Fernando Valle, CFA, Head of Energy at Hedgeye Risk Management, reveals the critical importance of Kharg Island—Iran’s main oil export terminal responsible for over 1.3 million barrels per day. Valle explains why bombing Kharg would be a point of no return, potentially triggering Iran to shut down the Strait of Hormuz, and why the U.S. and Israel have avoided that move… so far. With only 1.5% of global oil coming from Iran, Fernando warns that a dir...
Jun 28, 2025•2 min
In this must-watch episode of Buy Hold Sell, Wall Street veterans Tobin Smith and Todd M. Schoenberger sit down with Maria Jelescu Dreyfus, Founder, CEO, and CIO of Ardinall Investment Management — a private investment firm focused on long-short strategies in public markets and the global energy transition. Maria shares her unique perspective shaped by her leadership at Goldman Sachs, board experience at ExxonMobil and Pioneer Natural Resources, and deep involvement i...
Jun 23, 2025•31 min
In this must-watch episode of Buy Hold Sell, Wall Street veterans Tobin Smith and Todd M. Schoenberger sit down with Maria Jelescu Dreyfus, Founder, CEO, and CIO of Ardinall Investment Management — a private investment firm focused on long-short strategies in public markets and the global energy transition. Maria shares her unique perspective shaped by her leadership at Goldman Sachs, board experience at ExxonMobil and Pioneer Natural Resources, and deep involvement in energy polic...
Jun 23, 2025•31 min
Join Tobin Smith (TransformityResearch.com CIO) and Todd M. Schoenberger (CEO, CrossCheck Media) as they welcome Jed Ellerbroek, CFA, Portfolio Manager at Argent Capital Management in St. Louis, MO. In this insightful episode: 🎯Jed discusses the tech mega-trend of in-house ASIC development, aimed at reducing reliance on NVIDIA. 🎯Tobin highlights his bullish stance on Micron memory chips, while Jed praises Broadcom’s commanding position. 🎯Jed shares his concentrated, low-turnover e...
Jun 13, 2025•31 min
Join Tobin Smith (TransformityResearch.com CIO) and Todd M. Schoenberger (CEO, CrossCheck Media) as they welcome Jed Ellerbroek, CFA, Portfolio Manager at Argent Capital Management in St. Louis, MO. In this insightful episode: 🎯Jed discusses the tech mega-trend of in-house ASIC development, aimed at reducing reliance on NVIDIA. 🎯Tobin highlights his bullish stance on Micron memory chips, while Jed praises Broadcom’s commanding position. 🎯Jed shares his concentrated, lo...
Jun 12, 2025•31 min
In this must-watch episode of WealthWise, host Jeffrey Hirsch welcomes Danny Riley, a legendary figure in trading and CEO of MrTopStep.com, to discuss his transformative path from floor runner to institutional innovator. Highlights include: 👉Early career: Starting in 1979 as a runner on the CBOT grain floor, advancing to the bond room, and eventually building the largest‑volume S&P futures desk on the CME Merc pit. 👉Pit rivalries: Insights into the cultural clash between ...
Jun 10, 2025•1 hr 21 min
In this must-watch episode of WealthWise, host Jeffrey Hirsch welcomes Danny Riley, a legendary figure in trading and CEO of MrTopStep.com, to discuss his transformative path from floor runner to institutional innovator. Highlights include: 👉Early career: Starting in 1979 as a runner on the CBOT grain floor, advancing to the bond room, and eventually building the largest‑volume S&P futures desk on the CME Merc pit. 👉Pit rivalries: Insights into the cultural clash between the Me...
Jun 10, 2025•1 hr 20 min
In this timely episode of Power Hour, host James Breslo engages in a compelling conversation with renowned Washington, D.C. correspondent Jessica Stone. With a distinguished career spanning major outlets like Voice of America, CGTN America, and Stansberry Research, Jessica brings her expertise to dissect the latest developments in global politics and economics. Key topics discussed: ➡️U.S.-China Trade Relations: Insights into the recent 90-minute call between President Trump and Presiden...
Jun 08, 2025•28 min
In this timely episode of Power Hour, host James Breslo engages in a compelling conversation with renowned Washington, D.C. correspondent Jessica Stone. With a distinguished career spanning major outlets like Voice of America, CGTN America, and Stansberry Research, Jessica brings her expertise to dissect the latest developments in global politics and economics. Key topics discussed: ➡️U.S.-China Trade Relations: Insights into the recent 90-minute call between President Trump and President Xi...
Jun 08, 2025•28 min
In this insightful episode of Buy Hold Sell, Wall Street veterans Tobin Smith and Todd M. Schoenberger sit down with Jillian Murrish, Co-Founder and CEO of Pier Asset Management, a private credit investment firm focused on niche deals in specialty finance based in Manhattan Beach, California. Jillian delves into her firm's strategic focus on specialty finance and alternative investments, emphasizing: ➡️Targeting underserved markets with deals under $25 million ➡️Prioritizing cash-flowing...
Jun 06, 2025•39 min
In this insightful episode of Buy Hold Sell, Wall Street veterans Tobin Smith and Todd M. Schoenberger sit down with Jillian Murrish, Co-Founder and CEO of Pier Asset Management, a private credit investment firm focused on niche deals in specialty finance based in Manhattan Beach, California. Jillian delves into her firm's strategic focus on specialty finance and alternative investments, emphasizing: ➡️Targeting underserved markets with deals under $25 million ➡️Prioritizing cash-flowing assets ...
Jun 06, 2025•39 min
Mastering Market Momentum: Alex Spiroglou Unveils the MACD-V on WealthWise In this masterclass edition of WealthWise with Jeffrey Hirsch, we’re joined by Alex Spiroglou, one of the most forward-thinking minds in modern technical analysis. As the creator of the MACD-V — a groundbreaking volatility-normalized momentum indicator — Alex brings a unique lens to understanding price action in today’s hyper-volatile financial markets. 📈 🚨*Why This Matters:* Traditional tools like MACD, RSI, and St...
Jun 04, 2025•1 hr 16 min
Mastering Market Momentum: Alex Spiroglou Unveils the MACD-V on WealthWise In this masterclass edition of WealthWise with Jeffrey Hirsch, we’re joined by Alex Spiroglou, one of the most forward-thinking minds in modern technical analysis. As the creator of the MACD-V — a groundbreaking volatility-normalized momentum indicator — Alex brings a unique lens to understanding price action in today’s hyper-volatile financial markets. 📈 🚨*Why This Matters:* Traditional tools like MACD, RSI, and Stocha...
Jun 04, 2025•1 hr 17 min
Legendary trader Larry Williams joins WealthWise with Jeffrey Hirsch to break down the uncomfortable truth about U.S. deficits, government cuts, and the long-term outlook for the stock market. In this clip, Larry delivers a sobering analysis: 📉 Large deficits = bullish stock rallies. 🧾 Cutbacks = less money in circulation. 🕰️ His cycles say the real trouble starts in 2026... and we could be in for a decade-long sideways market. 📺 Watch the full episode now to hear Larry’s long-term market ...
Jun 01, 2025•3 min
💣 Tobin Smith on the Bond Market’s “Nuclear Risk” — A Hidden Economic Time Bomb? 💥 💣 “It feels like everybody's got nuclear bombs of bonds aimed at each other.” — Tobin Smith, CIO at TransformityResearch.com, delivers a Blunt and Urgent Warning in this explosive clip from Buy Hold Sell, a CrossCheck Media production. With \$2.3 trillion in new U.S. debt issuance and \$1.8 trillion in 10-year Treasuries rolling over at higher interest rates, Tobin breaks down the *looming threat to the b...
Jun 01, 2025•3 min
🔥 Sam Stovall Reveals the Smartest Post-Crash Investing Strategy | Buy Hold Sell 🔍📈 In this must-watch clip from Buy Hold Sell: Special Report, Sam Stovall, Chief Investment Strategist at CFRA Research, analyzes whether the recent rally from the April 2025 lows is sustainable — or just another bear market bounce. Backed by historical data since 1990, Stovall breaks down why the worst-performing sectors often become the market's best comeback stories. 💹 🎯 Key Takeaways You Can't Miss: - ...
Jun 01, 2025•2 min
In this insightful episode of Money Mavericks, host Tobin Smith, CIO of TransformityResearch.com, sits down with Bob Elliott, CEO and CIO of Unlimited Funds. Elliott shares his mission to democratize access to sophisticated hedge fund strategies through innovative ETFs like the Unlimited HFND Multi-Strategy Return Tracker and the newly launched HFGM Global Macro ETF. Drawing from his extensive experience at Bridgewater Associates, where he served on the Investment Committee and l...
May 27, 2025•47 min
In this insightful episode of Money Mavericks, host Tobin Smith, CIO of TransformityResearch.com, sits down with Bob Elliott, CEO and CIO of Unlimited Funds. Elliott shares his mission to democratize access to sophisticated hedge fund strategies through innovative ETFs like the Unlimited HFND Multi-Strategy Return Tracker and the newly launched HFGM Global Macro ETF. Drawing from his extensive experience at Bridgewater Associates, where he served on the Investment Committee and led Ray D...
May 27, 2025•47 min
In this insightful episode of WealthWise, host Jeffrey Hirsch, Editor-in-Chief of the Stock Trader's Almanac, engages with Peter Boockvar, Chief Investment Officer at Bleakley Financial Group, to delve into the evolving landscape of global investing. Peter shares his contrarian approach, emphasizing a strategic shift from large-cap tech stocks to value-oriented companies and international markets. He discusses the implications of changing capital flows as foreign investors reasse...
May 20, 2025•48 min
In this insightful episode of WealthWise, host Jeffrey Hirsch, Editor-in-Chief of the Stock Trader's Almanac, engages with Peter Boockvar, Chief Investment Officer at Bleakley Financial Group, to delve into the evolving landscape of global investing. Peter shares his contrarian approach, emphasizing a strategic shift from large-cap tech stocks to value-oriented companies and international markets. He discusses the implications of changing capital flows as foreign investors reassess U.S. ...
May 20, 2025•47 min
In this Buy Hold Sell Special Report, Wall Street veterans Todd M. Schoenberger and Tobin Smith sit down with Dean Smith, Chief Strategist and Portfolio Manager at FolioBeyond, for a high-stakes conversation on the rising risks of stagflation, market volatility, and the global economic outlook. Dean shares his bearish perspective on the U.S. economy, citing persistent inflation, unresolved U.S.-China trade tensions, and a Federal Reserve policy misstep as catalysts for continued ...
May 16, 2025•36 min
In this Buy Hold Sell Special Report, Wall Street veterans Todd M. Schoenberger and Tobin Smith sit down with Dean Smith, Chief Strategist and Portfolio Manager at FolioBeyond, for a high-stakes conversation on the rising risks of stagflation, market volatility, and the global economic outlook. Dean shares his bearish perspective on the U.S. economy, citing persistent inflation, unresolved U.S.-China trade tensions, and a Federal Reserve policy misstep as catalysts for continued market d...
May 16, 2025•36 min
📈 Recession or Recovery? Tom Bruce Breaks Down What Wall Street Won’t Say In this insightful episode of Buy Hold Sell, co-hosts Todd M. Schoenberger and Tobin Smith welcome Tom Bruce, Macro Investment Strategist at Tanglewood Total Wealth Management, to dissect the current economic landscape and its implications for investors. 🔍 Key Discussion Points: Macro Investment Strategy: Tom emphasizes the importance of focusing on macroeconomic trends over specific sectors or eq...
May 15, 2025•30 min
📈 Recession or Recovery? Tom Bruce Breaks Down What Wall Street Won’t Say In this insightful episode of Buy Hold Sell, co-hosts Todd M. Schoenberger and Tobin Smith welcome Tom Bruce, Macro Investment Strategist at Tanglewood Total Wealth Management, to dissect the current economic landscape and its implications for investors. 🔍 Key Discussion Points: Macro Investment Strategy: Tom emphasizes the importance of focusing on macroeconomic trends over specific sectors or equities, ...
May 14, 2025•30 min
📈 US–China Ceasefire Ignites Massive Stock Market Rally | Sam Stovall's Strategic Investment Forecast 🔥 In this explosive special report of Buy Hold Sell, hosts Todd M. Schoenberger and Tobin Smith welcome Sam Stovall, Chief Investment Strategist at CFRA Research, to dissect the unexpected 90-day ceasefire agreement in the ongoing U.S.–China trade war—and how it triggered a historic surge across the financial markets. 🎙️ What Happened? After intense, behind-closed-doors weekend negoti...
May 13, 2025•23 min
In this Buy Hold Sell Special Report, hosts Todd M. Schoenberger and Tobin Smith are joined by Sam Stovall, Chief Investment Strategist at CFRA Research, to dissect the market's reaction to the unexpected 90-day ceasefire in the U.S.–China trade war. Following weekend negotiations in Switzerland, both nations agreed to significantly reduce tariffs—U.S. tariffs on Chinese goods dropped from 145% to 30%, while China's tariffs on U.S. goods decreased from 125% to 10% . This development sparked a su...
May 13, 2025•24 min