RenMac welcomes CNBC’s Mike Santoli to unpack the market’s bullish resilience amid growing macro cracks. The team debates Powell’s “hawkish cut” and its hit to mortgage rates, why housing remains in recession despite Fed easing, and how the AI boom is masking deeper labor and credit stress. deGraaf breaks down the difference between trend and momentum markets, Pavlick tracks Trump’s Asia trade push, rare earth strategy, and the prolonged D.C. shutdown and Dutta warns that slowing incomes and hou...
Oct 31, 2025•54 min
RenMac breaks down a cooler-than-expected CPI print that cements the case for further Fed cuts and tempers tariff-fueled inflation fears. Neil dissects how weak rents and slowing jobs are driving disinflation, while Jeff explores the anatomy of bubbles and why gold’s surge is flashing early warning signs. Pavs tracks Trump’s escalating trade brinkmanship ahead of his Asia trip, the politics of aprolonged shutdown, and what to watch in global negotiations as markets juggle seasonality, sentiment,...
Oct 24, 2025•32 min
RenMac unpacks rising credit concerns as regional bankswobble and private equity stress builds, contrasting credit risk with last year’s duration scare. Jeff draws upon lessons from Sir Isaac Newton’s South Sea bubble FOMO as today’s liquidity and AI enthusiasm risk repeating history, while Neil flags widening cracks in labor markets and a still-too-tight Fed. Pavs updates the prolonged shutdown, Trump’s trade maneuvers ahead of a Xi meeting, and Washington’s focus on growth over regulation amid...
Oct 17, 2025•41 min
Neil Dutta recently caught up with Michelle Meyer, Chief Economist at the MasterCard Economics Institute. From her perch at MasterCard, Michelle has a front seat to the US consumer. In this episode of the RenMac Legends Podcast, we talk about consumer trends and what's driving the recent strength, the benefits of large private sector data sets given the data fog due to the government shutdown, and a get into a bit of a back and forth on housing as well.Michelle was a former colleague of mine at ...
Oct 16, 2025•42 min
RenMac debates whether the Fed’s planned cuts can offset aslowing labor market and rising unemployment, as markets bet liquidity will keep equities buoyant. The team discusses the deepening government shutdown and its missing “pain point,” the global drivers behind gold’s parabolic surge, andWashington’s growing industrial policy push into rare earths. They close by flagging warning signs in semiconductor sentiment and how shifting cyclical trends could define year-end market moves....
Oct 10, 2025•30 min
RenMac recaps client takeaways from London and Chicago,weighs the rising odds of a prolonged shutdown with Trump threatening permanent layoffs, and breaks down how tariffs, industrial policy, and Big Pharma deals are reshaping the landscape. The team flags complacency in recession odds,highlights sentiment risks in semis, and explains why healthcare’s pain may be setting up a long-term bottom — all while keeping an eye on discretionary trends, gold, and the Fed’s next move.
Oct 03, 2025•40 min
RenMac welcomes guest Sam Ro as the team unpacks Feddynamics as Trump appointees push aggressive cuts, rising odds of a government shutdown with threats of federal layoffs, and the latest wave of sectoral tariffs. They debate whether cooling labor markets could paradoxically boostmargins, explore the challenges of measuring productivity amid AI adoption, and assess what narrowing market breadth signals for equities heading into Q4.
Sep 26, 2025•58 min
RenMac discusses the Fed’s risk-management cut and the political dynamics shaping Powell’s next moves, why the internal divisions on rate cuts matter for markets, and what the latest housing and construction data signal for jobs andgrowth. The team also looks at how small caps and cyclicals are powering breadth in the market, whether momentum can outlast beta, and how tariff politics and regulatory shifts add new wrinkles to the outlook.
Sep 19, 2025•37 min
RenMac discusses how Fed politics and the upcoming FOMC decision are colliding with market expectations, why shutdown risks remain elevated despite hopes for cooler partisan tensions, and how tariffs with China, Mexico, and India are evolving in unexpected ways. The team also debates whether markets are signaling resilience or simply fibbing in the face of weak jobs data, rising slack, and slowing growth, while investors bet on a productivity boom to justify record highs.
Sep 12, 2025•36 min
They say some people have a face for radio. You? You've got a face for Off-Script. Send us your question via video or audio clip for the RenMac Mailbag. Fame optional. Hats guaranteed. https://start.renmac.com/renmac-mailbag-video
Sep 09, 2025•35 sec
In Today’s Report: RenMac unpacks a payrolls miss that highlights rising slack in the labor market, why consumer sentiment has flipped from bullish to a bearish contrarian signal, and how government shutdown odds are climbing well above normal. The team also digs into gold’s breakout amid falling yields, the shifting dynamics between semis, small caps, and cyclicals, and the political maneuvering around Fed appointments and trade with Mexico and Canada.
Sep 05, 2025•38 min
This week on RenMac Off-Script , Steve, Jeff, and Pavlik are joined by special guest Josh Brown , CEO of Ritholtz Wealth Management. The team digs into the Fed shakeup after President Trump’s firing of Lisa Cook, the implications for market stability, and whether “norms” still matter in policy. They also discuss the rally in gold, cracks in the labor market, small caps leading equities higher, China’s breakout, and client psychology in a too-good-to-be-true market. Plus: Josh previews the Future...
Aug 29, 2025•48 min
RenMac unpacks why Asian and frontier markets are rallying despite tariffs, how Trump’s industrial policy is morphing into “state capitalism,” the risks of politicizing Fed appointments with the Lisa Cook scandal, and why stagflation fears are misplaced as tight credit spreads argue against recession, even as beta keeps breaking down and momentum holds up
Aug 22, 2025•34 min
RenMac discusses the latest in economic data, including how prices are flattering retail sales; the leap to get the FOMC to support a 50bp move; market leadership from small caps to Asia and the improvement in consumer discretionary relative to staples; and why the government’s stake in Intel is part of a more muscular industrial policy approach to strategic sectors.
Aug 15, 2025•35 min
RenMac breaks down the sharp rise in effective tariffs and who’s really paying for them, how firms may react to margin pressure with layoffs or price hikes, the macro regime shift that’s pulling markets back to pre-GFC behavior, how game theory is guiding Trump’s Fed chess match and whether or not Waller is already acting as shadow Fed chair
Aug 08, 2025•35 min
RenMac unpacks the sharp job revisions and weakening prime-age employment suggesting contraction, explores the Fed’s credibility crisis and potential for a September-to-December rate cut cycle, critiques Trump’s strategic positioning on the Fed Chair with Waller as the dark horse and flag narrowing breadth, seasonality risks, and why copper’s news-driven breakout may be a trap.
Aug 01, 2025•37 min
RenMac talks tariffs and who really bears the burden, Trump’s Fed site-visit and true objective, the narrow market excuse and why it’s more bearish propaganda than insightful utility, and the negative global liquidity story imbedded in JGB normalization and the Yen carry trade unwind.
Jul 25, 2025•42 min
RenMac discusses the Fed Chair race and Trump’s strategy, NVDA-led chip diplomacy with China and crypto legislation, markets ignoring rising shutdown risks, seasonal patterns shifting the beta/momentum trade, and the unusual dynamic of rising rates and falling currencies.
Jul 18, 2025•36 min
RenMac’s crew dives into recent tariff announcements, the unpriced probability of a U.S. Govt shutdown in October, Momentum vs Beta, Fed’s stance on interest rates and surface level employment data, Bitcoin’s breakout and vacationing in Medellin in the summer.
Jul 11, 2025•35 min
RenMac dives into the July 4th weekend with a fresh look at the payroll surprise, Fed expectations, the global PMI paradox, and whether the market can stomach high rates. Neil unpacks sluggish job growth beneath the headline beat, Jeff outlines the capex-driven cyclicals leading the rally, and the crew debates whether PMIs and yield curves have lost their forecasting mojo. Plus: why financials might shine, how real yields shape allocation, and yes—cucumber gin makes another cameo.
Jul 04, 2025•27 min
RenMac discusses the case to be made for the next Fed chair, the latest on crude oil, the Middle East, July’s seasonal strength, the perceived disconnect between markets and the economy and the reality of that perception, along with a suggested golf handicap adjustment.
Jun 27, 2025•36 min
RenMac walks through this week’s Fed decision, Iran’s exit ramp, weakness in housing, the Byrd Bath, RMs 20% allocation to commodities, the overbought condition in oil and the momentum in financials.
Jun 20, 2025•36 min
RenMac Discusses TDS (Tariff Derangement Syndrome) giving way to IDF (Israeli Defense Forces), message out of real-rates, the employment picture, trajectory of the Fed, breakout in precious metals and Tuesday’s Senate bill on stablecoin.
Jun 13, 2025•33 min
RenMac discusses the latest payroll print and why the Fed may use it to stay on the sidelines, the improvement in small-cap performance, the call between Xi and Trump, and the implications of the fallout between Musk and Trump.
Jun 06, 2025•26 min
RenMac discuss the latest developments on the tariff front, the administration’s multiple avenues to pursue their trade agenda, the slowing in the labor and housing markets, and the nuance behind the adage of “sell in May and go away.”
May 30, 2025•33 min
RenMac talks government bonds, the divergence in the $ and rates, the global repudiation of government debt, and the implications, Bitcoin’s new high, Trump’s tax bill, and the importance of momentum from this point forward.
May 23, 2025•37 min
RenMac double-clicks on bond market’s message, GOP reconciliation, deGraaf’s Thrust and implications, Gold’s seasonality, energy implications and Knicks vs Celtics
May 16, 2025•36 min
RenMac dives into the latest on tariffs, Powell’s position, the RenMac Retest Rule, Communion suggestions for the new Pope, how the markets and the economy are similar but different, and the definition of a Knickerbocker
May 09, 2025•38 min
RenMac unpacks the latest employment report, the discrepancy between soft and hard data, the importance of considering “what can go right vs wrong” when bearish sentiment is at an extreme, the potential for thawing trade negotiations, the lack of escape velocity in this market but why we’re not pulling the plug on our tactical call, this week’s mail bag, and Jeff’s long-shot Derby play.
May 02, 2025•42 min
RenMac discusses Trump backing off on Powell’s firing, why a slower growth environment could mean a more consensus Fed pick, the latest in trade negotiations, what areas to watch to see how survey-data and hard-data reconcile, what tactical indicators we use to see where the bond market is headed, and a preview of next week’s employment data.
Apr 25, 2025•28 min