Get ready for sector rotations with the best tools of the trade. Anne-Marie Baiynd, trader and author of “The Trading Book,” starts from the basics, discussing the motivations people can have for buying and selling stock, how to deploy iron condors and what call walls are. Learn more about your ad choices. Visit megaphone.fm/adchoices
Dec 04, 2024•1 hr 4 min•Ep. 298
Between volatile rotations and pockets of frothiness, staying ahead of changing sentiment in today’s market can be a tremendous task. Jay Woods, chief global strategist at Freedom Capital Markets, discusses a key industry seeing a notable rebound, how to prepare your portfolio for the new Trump administration and why regional banks, utilities and stocks like Zoom (ZM) may see a comeback. Learn more about your ad choices. Visit megaphone.fm/adchoices
Nov 25, 2024•1 hr 4 min•Ep. 297
Know when to put on the brakes and when to get out. Scott Bennett founder of InvestWithRules.com joins the “Investing with IBD” podcast to discuss how to follow the big money: trader habits, the intricacies of institutional buying, and how to adjust your fund and trend watching habits. Scott also discusses the trends in stocks like Carvana (CVNA), GE Vernova (GEV) and Intuitive Surgical (ISRG) Learn more about your ad choices. Visit megaphone.fm/adchoices
Nov 21, 2024•56 min•Ep. 296
Joe Fahmy, managing director at Zor Capital, joins the “Investing With IBD” podcast to discuss common missteps investors make when bracing for big news events and the importance of trusting the market action. Plus, we take a look at high-flying AI stocks that need a pullback to be actionable: Nvidia (NVDA), Vertiv Holdings (VRT) and Tesla (TSLA). Learn more about your ad choices. Visit megaphone.fm/adchoices
Nov 15, 2024•54 min•Season 1Ep. 295
With markets rising on a Donald Trump victory, how do you handle the initial reactions you see in markets? Katie Stockton, founder of Fairlead Strategies, discusses why market sentiment is measurable, the three big challenges that remain, and why she thinks we’re heading to a more subdued trading environment. Learn more about your ad choices. Visit megaphone.fm/adchoices
Nov 07, 2024•52 min•Ep. 294
Imagine looking at a map of the U.S. and taking a drive starting in Arizona and ending in Maine. That’s what you want your equity curve to look like: smooth as possible, with no detours. Don Vandenbord, chief investment officer of Revere Asset Management, joins Investor’s Business Daily’s “Investing with IBD” podcast to discuss rules to get out, and rules to stay in even when scared. Take emotion out of your investing and stay the course. Learn more about your ad choices. Visit megaphone.fm/adch...
Oct 30, 2024•1 hr 2 min•Ep. 293
Elections are taking over from the Fed as the reason markets are in a wait-and-see mode. John Kosar, CMT, president, chief market strategist at Asbury Research, explains why it’s prudent to hold back from your own big bets, what volatility tells us about market trends and what gold’s strength means for commodities. He also talks JPMorgan Chase (JPM), Goldman Sachs (GS) and Tesla (TSLA). Learn more about your ad choices. Visit megaphone.fm/adchoices
Oct 23, 2024•1 hr 3 min•Ep. 292
Seeing market breakouts is nothing new, but what happens when they’re coupled with unusually high volatility? Mark Minervini, two-time U.S. investing champion and founder of Minervini Private Access, joins the Investing with IBD podcast along with Irusha Peiris, Portfolio Manager, O’Neil Global Advisors. Minervini discusses the oddities we’re seeing in today’s market despite the recent bull run, and how to adjust your investing strategy accordingly. Learn more about your ad choices. Visit megaph...
Oct 16, 2024•1 hr 10 min•Ep. 291
Are markets setting up for a smooth November and December? David Keller, president and chief strategist at Sierra Alpha Research discusses why breadth indicators are the greatest challenge for investors, and the signs to watch for shifting market tides. Learn more about your ad choices. Visit megaphone.fm/adchoices
Oct 09, 2024•1 hr 3 min•Ep. 290
Strap in, investors. The Fed’s only getting started with rate cuts, tensions in the Middle East are rising and China stocks are still surging. Jon Najarian of Market Rebellion joins us alongside Irusha Peiris, portfolio manager at O’Neil Global Advisors, to discuss market resilience and why things are continuing to act well despite volatility. Learn more about your ad choices. Visit megaphone.fm/adchoices
Oct 02, 2024•59 min•Ep. 291
Is the market too exuberant about Fed rate cuts? David Saito-Chung, deputy markets editor at IBD, discusses why market expectations haven’t always matched the Fed’s actions — and what happened during past rate cuts. Learn more about Leaderboard stocks like Ensign Group (ENSG) and DoorDash (DASH), and why NVR (NVR) is an interest rate sensitive stock to watch. Learn more about your ad choices. Visit megaphone.fm/adchoices
Sep 25, 2024•1 hr 2 min•Ep. 288
The Fed’s recent rate cuts are rapidly changing the market’s trajectory — the earlier you recover and adapt, the better. Eric Krull, co-author of “The Lifecycle Trade” and manager and founder of Krull Asset Management, discusses follow-through days and the importance of flexibility. Learn why your portfolio should bend like a tree in the wind, and where AppLovin (APP), Clear Secure (YOU) and Spotify (SPOT) are in the lifecycle trade. Learn more about your ad choices. Visit megaphone.fm/adchoices
Sep 18, 2024•1 hr 5 min•Ep. 287
Trust in time travel for trading in trendless times. Harold Morris, MarketSurge and Leaderboard senior product coach at IBD, discusses how investors can benefit from the passage of time even when the market is fluctuating. Learn how to protect yourself with time in Gold (GLD) and Netflix (NFLX) and why names like Toll Brothers (TOL) and Apple (AAPL) are stocks to look at — but not buy just yet. Learn more about your ad choices. Visit megaphone.fm/adchoices
Sep 11, 2024•1 hr•Ep. 286
Each market cycle is unique — shouldn’t your metrics be unique too? Matt Caruso, president of Caruso Insights, joins Investor’s Business Daily’s “Investing with IBD” podcast to discuss how the market rewards different winning stocks depending on its cycle. Learn about the critical metrics to analyze each time, and why AI adjacent names Palantir (PLTR) and GE Vernova (GEV) deserve a closer look alongside mainstays like Nvidia (NVDA) and Tesla (TSLA). Learn more about your ad choices. Visit megaph...
Sep 05, 2024•58 min
We’re set for some big headlines in the next few weeks from politics, tech and the Fed. One thing is certain: volatility is coming. Jay Woods, chief global strategist at Freedom Capital Markets, joins Investor’s Business Daily’s “Investing with IBD” podcast to discuss how the reaction around Nvidia (NVDA) earnings relates to market volatility and what to do with your portfolio when big market swings are expected. He also covers the trouble with trading Tesla (TSLA), risk management in Pfizer (PF...
Aug 29, 2024•1 hr 10 min
Rewinding the ticker tape. Jim Roppel, founder of the Roppel Report, joins the “Investing with IBD” podcast to share his analysis of the panic bottom, strategies for removing hedges and the signals he’s seeing of a quiet bull case building in the market. Learn about the drug development potential of Eli Lilly (LLY), the bull case in Nvidia (NVDA) and why Cava (CAVA) is in a class of its own. Learn more about your ad choices. Visit megaphone.fm/adchoices
Aug 22, 2024•1 hr 18 min•Season 1Ep. 283
Conviction is best enjoyed in moderation: the stronger it is, the faster you have to lose it. Charles Harris, portfolio manager at O’Neil Global Advisors, joins Investor’s Business Daily’s “Investing with IBD” podcast to discuss key habits that help rein in your conviction, and the strengths in SharkNinja (SN), Eli Lilly (LLY) and Palantir (PLTR). Learn more about your ad choices. Visit megaphone.fm/adchoices
Aug 15, 2024•1 hr 10 min•Season 1Ep. 282
When economic indicators are giving you mixed signals, don’t let yourself get locked in with any one sector. Mish Schneider, chief strategist at MarketGauge.com, talks about the correlations between stocks and ETFs, the commodities straining microchip production and the economic indicators behind the recent market correction. Learn more about your ad choices. Visit megaphone.fm/adchoices
Aug 08, 2024•56 min•Season 1Ep. 281
Trade against the trend. Jason Shapiro, founder of Crowded Market Report, discusses how to properly diversify your portfolio with uncorrelated returns. Learn how to find setups in currencies like the sterling, yen and bitcoin, and why it’s OK to miss a trade. Learn more about your ad choices. Visit megaphone.fm/adchoices
Aug 01, 2024•1 hr 9 min•Season 1Ep. 280
Certain stocks and sectors are setting up to break out. But here’s the catch: they aren’t always showing up on the major indexes you’re watching. Mark Minervini, founder of Minervini Private Access, explains why this indicator tells you what the best names are doing and how to follow the money. Learn about why Insmed (INSM) stock is a buy-high-sell-higher opportunity, why Alpha and Omega Semiconductor (AOSL) shows not all semiconductor stocks are in trouble and the surprising reason why On Holdi...
Jul 25, 2024•1 hr 12 min•Season 1Ep. 279
Sometimes you land the right stock, but at the wrong time. Other times, stocks get ahead of themselves. Trading pro David Ryan discusses how to identify stocks that need just a little more time to cook, and discusses strategies for dealing with names like Nvidia (NVDA), Ollie’s Bargain Outlet (OLLI) and Best Buy (BBY). Learn more about your ad choices. Visit megaphone.fm/adchoices
Jul 18, 2024•1 hr 3 min•Season 1Ep. 278
Kathy Donnelly, trader and co-author of “The Lifecycle Trade,” joins the podcast to discuss how she uses long-term hold rules to ride a winning stock to big gains. Learn how to preserve mental capital and hold through a pullback with examples from Nvidia (NVDA) and Microsoft (MSFT). Plus, we take a look at stocks setting up first stage bases including Reddit (RDDT), Robinhood (HOOD)and Arm Holdings (ARM). Learn more about your ad choices. Visit megaphone.fm/adchoices
Jul 11, 2024•1 hr 5 min•Season 1Ep. 277
Mike Webster, senior market strategist at IBD, joins Investor’s Business Daily’s “Investing with IBD” podcast to discuss the current market and explain the dangers of downside reversals. Plus, we take a look at some stocks worthy of your watchlist including CrowdStrike (CRWD), ServiceNow (NOW) and Amazon (AMZN). Learn more about your ad choices. Visit megaphone.fm/adchoices
Jul 03, 2024•1 hr 15 min•Season 1Ep. 276
Market indecision can make money for savvy investors, but only if you’re able to act faster than the market. John Kosar, president and chief market strategist at Asbury Research, talks about modeling a unique period in the market and the contractions in models and rate cuts. Learn why volatility opens up opportunities in stocks like Apple (AAPL) and Microsoft (MSFT). Learn more about your ad choices. Visit megaphone.fm/adchoices
Jun 27, 2024•56 min
It’s hard to sell when you’re making money — but that’s when sell rules matter the most. Joe Fahmy, portfolio manager at Zor Capital, joins Investor’s Business Daily’s “Investing with IBD” podcast to talk about selling strategies for winners, because they don't run forever, as well as laggards. Plus, he shares where he thinks we are in the current bull cycle and how much room Nvidia and other AI leaders have left to run. Learn more about your ad choices. Visit megaphone.fm/adchoices
Jun 20, 2024•56 min
Exploring the tricks, traps and tools behind the best trades. David Saito-Chung, deputy markets editor at IBD, joins Investor’s Business Daily’s “Investing with IBD” podcast to examine the rise (and decline) of Skechers, discuss why a distraction led Irusha to miss this stock’s run and how to trade in the spirit of Bill O’Neil. Learn more about your ad choices. Visit megaphone.fm/adchoices
Jun 13, 2024•1 hr 4 min•Season 1Ep. 273
Frothy sentiment and a market behaving the opposite of what’s expected is enough to worry even seasoned investors. Jeffrey Hirsch, editor of the Stock Trader’s Almanac, joins Investor’s Business Daily’s “Investing With IBD” podcast to talk about how historical models are impacting his election year outlook. While there might be some short-term chop, seasonality suggests a strong second half. Hirsch explains. Learn more about your ad choices. Visit megaphone.fm/adchoices
Jun 06, 2024•50 min•Season 1Ep. 272
From Tesla (TSLA) to self driving, Elon Musk’s gravitational pull with investors is undeniable. But will AI dreams and automotive leadership be enough to overcome questions about Musk’s volatile management, the stock’s unrealized potential and a $46 billion pay raise request? Simon Erickson, founder and CEO of 7investing, joins Investor’s Business Daily’s “Investing with IBD” podcast to explain. Learn more about your ad choices. Visit megaphone.fm/adchoices
May 30, 2024•1 hr 4 min•Season 1Ep. 271
The market barometers are speaking — are you listening? Jim Roppel, founder of The Roppel Report, joins Investor’s Business Daily’s “Investing with IBD” podcast to discuss what major U.S. stocks, crypto and commodities are telling the market. Take an in-depth look at Amazon and Nvidia and learn why earnings from retailers around the world like MercadoLibre and PDD Holdings matter. Learn more about your ad choices. Visit megaphone.fm/adchoices
May 23, 2024•1 hr 5 min•Season 1Ep. 270
Katie Stockton, founder and managing partner of Fairlead Strategies, joins Investor’s Business Daily’s “Investing with IBD” podcast to discuss short-term market takeaways — and long-term momentum in stocks. Learn how to apply technical indicators to determine resistance levels in stocks like Amazon (AMZN) and why ETFs like VanEck Agribusiness (MOO) and stocks like General Mills (GIS) could be smart places to wait out potentially volatile periods. Learn more about your ad choices. Visit megaphone...
May 16, 2024•47 min•Season 1Ep. 269