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Investing With IBD

Investor's Business Dailywww.investors.com
Welcome to Investing With IBD, a weekly podcast for investors who want to sharpen their trading skills, learn how to make more money and take control over their investment success. From insights into stock market trends, timeless investing tips and fundamental and technical analysis of top stocks using stock charts, this is where you’ll find the expert guidance you need to maximize your gains and minimize your losses. New episode every Thursday.
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Episodes

Ep 148: Jared Tendler: Using "Emotional Indicators" For Better Performance

You have a system for picking potential stock winners but what about a system for recognizing your emotional state? Jared Tendler is a performance coach and author of “The Mental Game Of Trading.” He talks about expectations, biases, and illusions of control that lead to poor decisions and what to do about it. We also cover the market correction, Arch Resources (ARCH), the Energy Sector SPDR ETF (XLE), and Antero Resources (AR). For the video version, show notes and charts, visit investors.com/p...

Jan 20, 202252 minSeason 1Ep. 148

Ep 147: Joe Fahmy: Selling Rules Critical For Portfolio Gains

Joe Fahmy of Zor Captial joins the show again to talk about the current market divergences and the importance of sell rules for long-term stock market success. Part of following sell rules is making sure you have good entries and he shares his thoughts on areas setting up like rare earth metals miner MP Materials (MP), the resurgence of the SPDR S&P Oil & Gas Exploration & Production ETF (XOP), and strength in chips with Micron (MU). For the video version, show notes and charts, visi...

Jan 13, 202248 minSeason 1Ep. 147

Ep 146: Jeff Hirsch: Using The Stock Trader’s Almanac To Guide Decisions

Jeff Hirsch joins the show again to talk about patterns of the market through time. This data can help you put the odds of investing success in your favor. Beyond the seasonality of the market, he delves into fundamental, technical, economic, political and psychological factors that help inform stock selection. He shares his thoughts on the SPDR Sector Energy ETF (XLF) as well as A10 Networks (ATEN), and Pacira Biosciences (PCRX). For the video version, show notes and charts, visit investors.com...

Jan 06, 202251 minSeason 1Ep. 146

Ep. 145: Holiday Special: War Stories With Jim Roppel (Repeat 2019)

In this 2019 Holiday special repeat, Hedge fund manager Jim Roppel joined Irusha Peiris for some "war stories" to take a look back at a few of his biggest trading successes – and mishaps – over the years. For the video version, visit investors.com/podcast. Learn more about your ad choices. Visit megaphone.fm/adchoices

Dec 30, 202146 minSeason 1Ep. 145

Ep. 144: Alexis Garcia: Understanding The Stories Behind Stock Moves

Alexis Garcia joins the show to talk about the importance of fundamentals in addition to the chart analysis. Understanding themes of the future can help build conviction in the next market leaders. To help decipher those themes, Alexis has the new IBD Growth Stories podcast. Justin and Irusha also discuss market action of the last week and stocks like Seagate Technologies (STX), Nutrien (NTR), and Toll Brothers (TOL). For the video version, show notes and charts, visit investors.com/podcast. Lea...

Dec 23, 202148 minSeason 1Ep. 144

Ep 143: Jim Roppel: How Many More Bull Cycles Are In Your Future?

Jim Roppel, rejoins the show to remind us that no matter how bad a year you have, always remember how many opportunities lie in your future. With the strong reaction after the Fed meeting, he talks about where that puts the current market. Rounding out the discussion is his take on stocks that have held up in this latest downturn like Fortinet (FTNT), Nvidia (NVDA), Qualcomm (QCOM) and D R Horton (DHI) as well as thoughts on crypto. For the video version, show notes and charts, visit investors.c...

Dec 16, 202146 minSeason 1Ep. 143

Ep 142: Dave Ellison: A Big Picture View Of The Financial Sector

Dave Ellison, portfolio manager at Hennessy Funds, comes on for the first two segments to share his decades of experience covering the financial sector and where he sees it going. From fintech, crypto, and especially the influence of the Federal Reserve. In our last segment, Justin and Irusha give a market update and talk through strength in O'Reilly Automotive (ORLY) and Toll Brothers (TOL) and warning signs for Zim Shipping (ZIM).For the video version, show notes and charts, visit investors.co...

Dec 09, 202153 minSeason 1Ep. 142

EP 141: Jon Najarian: Managing Volatile Stocks With Options

Jon Najarian, co-founder of Market Rebellion, talks about using options to setup low risk / high return trades in an increasingly volatile market. Whether it's using a stock repair strategy on a damaged position like PayPal (PYPL) or multi-leg strategies, there are plenty of profit opportunities still out there. He also walks through a few stocks with long-term potential like Albemarle (ALB), Lucid Group, and Nvidia (NVDA). For the video version, show notes and charts, visit investors.com/podcas...

Dec 02, 202149 minSeason 1Ep. 141

Ep 140: Dan Fitzpatrick: Are We Seeing Shots Across The Bow In The Market?

Dan Fitzpatrick, co-founder and head of stockmarketmentor.com, talks about the cycles of the market and how he has observed "shots across the bow" as an early warning sign of trouble with Zoom Video (ZM) as a good case study. He also discusses the events that happen at bottoms and the process at tops and some of his current trading ideas on Xpeng (XPEV), Denbury (DEN), and Nucor (NUE). For the video version, show notes and charts, visit investors.com/podcast. Learn more about your ad choices. Vi...

Nov 24, 20211 hr 3 minSeason 1Ep. 140

Ep 139: Ross Haber: Proactive Selling To Smooth Your Equity Curve

Ross Haber, co-founder and head of TraderLion, talks about why he is engaged in more proactive selling in this market. While there is always the fear of lightening up and watching a stock take off higher, the lighter position size can help manage volatility. He walks through some of his recent trades and observations in Roblox (RBLX), Airbnb (ABNB), Lucid Motors (LCID) and Coinbase (COIN). For the video version, show notes and charts, visit investors.com/podcast. Learn more about your ad choices...

Nov 18, 202148 minSeason 1Ep. 139

Ep 138: Scott Bennett: Following Billion-Dollar Funds And Using A Trend Roadmap

Scott Bennett, founder of Investwithrules.com, shares his methodology of tracking the action in billion-dollar funds and using a trend roadmap to assist with his timing. He discusses how his model helped him throughout the year but especially with early signals in leading stocks ahead of the latest follow-through day. Lately, he's noticed inflows in Airbnb (ABNB), Coinbase (COIN) and Academy Sports & Outdoors (ASO). For the video version, show notes and charts, visit investors.com/podcast. L...

Nov 11, 202148 minSeason 1Ep. 138

Ep 137: Charles Harris: Big Win In Tesla Gives Flexibility Elsewhere

Charles Harris, portfolio manager at O'Neil Global Advisors is working on another great year of performance. He walks through his trades in Tesla (TSLA) and Starbulk (SBLK) and how the gains have given him the flexibility to take the contrarian view elsewhere. He talks about his use of precedents as a guide and shares some out of favor stocks on his radar like Cleveland Cliffs (CLF) and Golden Ocean (GOGL). For the video version, show notes and charts, visit investors.com/podcast. Learn more abo...

Nov 04, 202158 minSeason 1Ep. 137

Ep 136: Using Market Feedback To Make Investing Decisions

Failed breakouts, rotation, and now earnings season is making the current environment difficult. However, the market can give you feedback that helps you find areas of profit or protect your capital. We discuss the clues in the energy stock leaders plus some current setups with Ford (F) and Enphase (ENPH). We also look at some failed breakouts with Sea Limited (SE), AutoNation (AN), and an earnings gap down for Snap (SNAP). For the video version, show notes and charts, visit investors.com/podcas...

Oct 28, 202149 minSeason 1Ep. 136

Ep. 135: Lauren Simmons: Going Public With Crowdfunding

Lauren Simmons started her career on the floor of the NYSE at the age of 22, the youngest floor trader at the time. Soon, she'll be hosting an upcoming series "Going Public." It will explore how retail investors can gain early access to funding companies through Regulation A+. We also take a look at how the market is acting since its follow-through day and discuss regional banks through an ETF (KRE), Lennar (LEN) and Keysight (KEYS). For the video version, show notes and charts, visit investors....

Oct 21, 202145 minSeason 1Ep. 135

Ep. 134: Scott St. Clair: How To Prepare Ahead Of A Market Uptrend

Scott St. Clair, manager of premium products at IBD, talks about staying engaged even when the stock market is in corrective phase. By keeping the same routine of screening stocks, he's always aware of what the next leaders could be during a market correction. Pilot positions also give him valuable market feedback of what's working. We discuss stocks on his radar like Bill.com (BILL), MongoDB (MDB) and Valaris (VAL). For the video version, show notes and charts, visit investors.com/podcast. Lear...

Oct 14, 202154 minSeason 1Ep. 134

Ep. 133: Nina Deka: Healthcare Technology Still In Early Stages Of Disruption

Nina Deka, Senior Research Analyst at ROBO Global, points out some huge problems in the healthcare industry that are ripe for innovative solutions. After looking at some of five major themes, Nina revisits some stocks from her last appearance like 1Life Healthcare (ONEM) and Teladoc (TDOC) as well as the stories behind Tabula Rasa (TRHC) Akoya BioSciences (AKYA), Catalent (CTLT), Dexcom (DXCM) and Fate Therapeutics (FATE). For the video version, show notes and charts, visit investors.com/podcast...

Oct 07, 202154 minSeason 1Ep. 133

Ep. 132: Mark Minervini: How Discipline And Sacrifice Made Him A U.S. Investing Champion

Mark Minervini, has 37 years of trading experience, authored books on trading and also won a U.S. Investing Championship. His consistent outperformance of the market comes down to discipline and sacrifice. Following rules keeps him from costly errors, like overtrading. He demonstrates his points with examples like Moderna (MRNA), Tesla (TSLA), Penske Automotive (PAG), Tempur Sealy (TPX), Sierra Wireless (SWIR), and FedEx (FDX). For the video version, show notes and charts, visit investors.com/po...

Sep 30, 202152 minSeason 1Ep. 132

Ep 131: How Fantasy Football Can Help Your Stock Trading (Or Vice Versa?)

Irusha Peiris, portfolio manager at O'Neil Global Advisors, shares what lessons Fantasy Football offers stock traders. It's not just about the strength of the stock, or player, but the strong team that will give more opportunities. And sometimes, no matter how much you like a stock, or player, they need to be cut if they get injured. We also look at a few stocks like Builders FirstSource (BLD), AutoZone (AZO) and Floor & Decor (FND). For the video version, show notes and charts, visit invest...

Sep 23, 202151 minSeason 1Ep. 131

Ep. 129: Kenny Polcari Shares His Memories Of 9/11 From Ground Zero

Kenny Polcari, managing partner at Kace Capital Advisors, brings his four decades of experience on the floor of the NYSE to today's market. He gives his current outlook and why he's interested in "fear index" (VIXY) as a hedge and dividend plays like IBM (IBM) and the SPDR Utility ETF (XLU). Finally, Kenny shares his memories of 9/11. From his offices at the World Trade Center to the NYSE floor, his experience is unforgettable. For the video version, show notes and charts, visit investors.com/po...

Sep 09, 20211 hr 18 minSeason 1Ep. 129

Ep. 127: Pedro Palandrani: Which Stocks Can Benefit From Infrastructure Bill?

Pedro Palandrani, Research Analyst at Global X ETFs talks about thematic investing and specifically how stocks in the Global X Lithium Battery Tech (LIT) and U.S. Infrastructure (PAVE) could benefit from infrastructure and clean energy legislation. He covers stocks like Livent (LTHM), Lithium Americas (LAC) as well as China-based players like BYD (BYDDF) in the battery space and Jacobs Engineering (J) in heavy construction. For the video version, show notes and charts, visit investors.com/podcas...

Aug 26, 202149 minSeason 1Ep. 127

Ep. 126: Chris Gessel: How Early Entries Can Help Your Portfolio

Chris Gessel, Chief Content Officer at Investor's Business Daily, talks about early entries. He looks at upside reversals, breaks above downtrends and early resistance to get a cushion ahead of a breakout. He shares numerous trading examples including: Shopify (SHOP), DocuSign (DOCU), Nvidia (NVDA), CloudFlare (NET), MSCI (MSCI) and BioNTech (BNTX). He also checks on setups in Academy Sports & Outdoor (ASO) and Targa Resources (TRGP). For the video version, show notes and charts, visit inves...

Aug 19, 202152 minSeason 1Ep. 126

Ep. 125: George Young: His Bottom-Up Approach Focuses On These 3 Things

George Young, partner and portfolio manager at Villere & Co, talks about his approach for finding winning stocks. He focuses on strong companies with a competitive advantage rather than the chart. Paya (PAYA) and Ehealth (EHTH) may be down now, but he sees an overall trend in their industries that makes their future look bright. Meanwhile, T Tec (TTEC) has already seen a strong move but Young doesn't think it's over yet. For the video version, show notes and charts, visit investors.com/podca...

Aug 12, 202149 minSeason 1Ep. 125

Ep. 123: Irusha Peiris: Persistence, Planning And Consistency Pay Off

Irusha Peiris is back! Irusha is a portfolio manager at O'Neil Global Advisors and rejoins the podcast this week to share the lessons he's learned to get superior stock market results. He talks about persistence, planning and consistency as a winning combination for success. Irusha also provides analysis on the current market as well as stocks on his radar like Unity Software (U), Clear Secure (YOU) and Snap (SNAP). For the video version, show notes and charts, visit investors.com/podcast. Learn...

Jul 29, 202155 minSeason 1Ep. 123

Ep. 122: Rayna Lesser Hannaway: Finding Companies On The Right Side Of Change

Rayna Lesser Hannaway, portfolio manager and analyst at Polen Capital, joined the podcast this week to share her "flywheel" framework of analysis. Her team studies what factors help build upon each other to find small and midcap stocks that are on the right side of change. Lesser Hannaway provides a deep analysis on Globant (GLOB), Etsy (ETSY) and Trupanion (TRUP) as examples of companies that fit their model. For the video version, show notes and charts, visit investors.com/podcast. Learn more ...

Jul 22, 202157 minSeason 1Ep. 122

Ep. 120: Jason Thomson: Fundamental Analysis Trumps The Chart For Big Moves

Jason Thomson, portfolio manager at O'Neil Global Advisors, joined the podcast this week to discuss how he uses a deep dive on the fundamental analysis on his core stocks to guide his investing decisions. Thomson shares how he's moved from stock picking to business analysis to capture the true market leaders of a cycle. He shares insights on Shopify (SHOP) and DocuSign (DOCU) as examples of big movers that could have further to go. For the video version, show notes and charts, visit investors.co...

Jul 08, 202155 minSeason 1Ep. 120

Ep. 119: Jim Golan: Building A High-Conviction Portfolio For The Long Haul

Jim Golan, co-portfolio manager of the William Blair Investing Management Large-Cap Growth Fund, joined the podcast this week to discuss how he builds a high-conviction portfolio with a long-term view for holdings. With a low turnover in the fund, Golan discusses his stringent criteria for adds. Plus, we take a look at some companies that reinvented themselves and could still be in the early innings of big moves: Intuit (INTU), Microsoft (MSFT), and Accenture (ACN). For show notes and charts, vi...

Jul 01, 202148 minSeason 1Ep. 119
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