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“The Humble Investor” | Dan Rasmussen on Mag7, Value, Private Equity & Credit, and More

Dan Rasmussen, founder and CIO of Verdad Advisers, joins Jack to share insights on value, magnificent 7, private equity & credit, and bonds, from his…

1 year, 4 months ago

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Hedge Funds Are a Team Sport | Ilya Zaides on Continuity at 14B Capital
Hedge Funds Are a Team Sport | Ilya Zaides on Continuity at 14B Capital

Hedge fund success both for their investors and operationally is almost always the result of a team effort. Ilya Zaides, CIO and Founder of 14B Capit…

1 year, 4 months ago

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The EM Financial Stability Report Card | Rohit Goel on Emerging Markets, Dollar Dominance, and Term Premia

Today's episode is brought to you by Teucrium.


Learn more at: https://bit.ly/4gfI0fe


Rohit Goel, partner and head of global macro at Breakout Capital,…

1 year, 4 months ago

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2025 = Biggest Bank M&A Year In History? Bank Zhar Brad Rinschler on Credit, CRE, GBank, REIT Pain, and Much Much More

Brad Rinschler, managing partner and portfolio manager at Down Range Capital, joins Jack to share his in-depth view on the many niches of publicly tr…

1 year, 4 months ago

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Joseph Wang: Tariffs Are Coming & They Will Be Bad For Stocks (But Good for America)

This Monetary Matters episode is brought to you by VanEck.

Learn more about VanEck Uranium & Nuclear ETF: http://vaneck.com/NLRJack


Joseph Wang of Fed…

1 year, 4 months ago

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Russell Clark on Inverting the Long Short Hedge Fund Model and Battling Investors' Biggest Risks
Russell Clark on Inverting the Long Short Hedge Fund Model and Battling Investors' Biggest Risks

Former fund manager and short seller Russell Clark has always believed that the key to adding value for investors is to solve for the biggest risks i…

1 year, 4 months ago

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January Fed Meeting Breakdown | Jack Farley & Max Wiethe on Powell, Banks, and China's AI Race

Federal Reserve chair Jerome Powell updated investors on the key factors driving interest rate policy at the same time as another perhaps even bigger…

1 year, 4 months ago

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Tariffs Could Blow Up the Bond Market | Mark Zandi on the Biggest Risk to the Economy

Mark Zandi, Chief Economist for Moody’s Analytics, joins monetary matters to discuss his outlook for the US economy and why he thinks higher yields d…

1 year, 4 months ago

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How Micro Informs The Macro | David Steinberg on Scott Bessent, Pet Investing, Semiconductors, Music Publishing, and Peter Lake

David Steinberg, founder and chief investment officer of Marlowe Partners, joins Jack for a very special episode of Monetary Matters. Steinberg recou…

1 year, 4 months ago

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Why Chinese Bond Yields Have Collapsed | Louis Vincent Gave’s Bull Case For Chinese Stocks and Chinese Property Bonds

This Monetary Matters episode is brought to you by VanEck. 

Learn more about VanEck Uranium & Nuclear ETF: http://vaneck.com/NLRJack


Louis Vincent Gave…

1 year, 4 months ago

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