Investing With IBD

Investor's Business Daily

  • 52 minutes 8 seconds
    Ep. 294 Keep Calm And Trade On: Measuring Post-Election Market Sentiment

    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.

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    7 November 2024, 8:26 pm
  • 1 hour 2 minutes
    Ep. 293 Taking Out Emotion: How This Investment Advisor Applies The IBD Methodology In Trading

    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.

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    30 October 2024, 10:40 pm
  • 1 hour 2 minutes
    Ep. 292 Watching And Waiting: How To Approach Uncertainty Before Election 2024

    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).

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    23 October 2024, 10:42 pm
  • 1 hour 10 minutes
    Ep. 291 Why Minervini Calls Volatility A Rare Moment For This Market

    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.

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    16 October 2024, 10:31 pm
  • 1 hour 3 minutes
    Ep. 290 What's Next For Supercharged Markets And How To Adjust Your Allocations

    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.

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    9 October 2024, 10:23 pm
  • 59 minutes 25 seconds
    Ep. 289 Najarian: How To Avoid Getting Scared Out Of Market Filled With Tricks & Treats

    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.

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    2 October 2024, 10:32 pm
  • 1 hour 1 minute
    Ep. 288 This Is What’s Next For The Market According To Fed Rate Cut History

    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.

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    25 September 2024, 10:29 pm
  • 1 hour 5 minutes
    Ep. 287 How To Cope With Wild Market Volatility As Fed Cuts Rates

    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.

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    18 September 2024, 11:05 pm
  • 1 hour 24 seconds
    Ep. 286 Find Profits During Choppy Markets With These Trade Ideas

    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.

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    11 September 2024, 10:40 pm
  • 58 minutes 13 seconds
    Ep. 285 How To Use Key Stock Metrics To Stay Ahead Of The Market And Find Winners

    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).

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    5 September 2024, 12:25 am
  • 1 hour 10 minutes
    Ep. 284 How To Prepare Your Portfolio And Prosper Amid Heightened Volatility: Jay Woods

    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 (PFE) and the two transportation stocks every investor should know.

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    29 August 2024, 11:00 am
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