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Ep. 42: Monthly Dividend Safety, JNJ Slow Growth, Goldman Sachs Earnings, and Covered Call ETF Rankings

Episode 42

10 sources covering safest monthly dividend stocks, JNJ/PG slow dividend growth, RISR interest rate hedge ETF, dividend pyramid portfolios, Goldman S…

5 months, 2 weeks ago

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Ep. 41: International ETFs, Dogs of the Dow, SCHD vs Options, and Retiring on $500K

Episode 41

10 sources covering international dividend ETFs, P&G vs Colgate, UnitedHealth Dogs of the Dow, recent dividend raises, SCHD vs options income, QQQI c…

5 months, 2 weeks ago

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Ep. 40: Energy Dividend Safety, 52-Week Low Bargains & YieldMax Reality Check

Episode 40

Energy dividend safety (Chevron vs ConocoPhillips), 5 dividend stocks at 52-week lows (Microsoft, Main Street Capital, Nike, Novo Nordisk, Mastercard…

5 months, 2 weeks ago

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Ep. 40: Energy Dividend Safety, 52-Week Low Bargains & YieldMax Reality Check

Episode 40

Energy dividend safety (Chevron vs ConocoPhillips), 5 dividend stocks at 52-week lows (Microsoft, Main Street Capital, Nike, Novo Nordisk, Mastercard…

5 months, 2 weeks ago

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Ep. 39: Income ETF Stress Tests, Undervalued Dividend Picks & Buy-and-Hold Forever Portfolios

Episode 39

Income ETF stress testing (QQQY/YBTC traps vs DIVP/MLPD quality), undervalued stocks (Mastercard, Williams Companies, AbbVie), EPRT net lease REIT, N…

5 months, 2 weeks ago

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Ep. 38: Covered Call ETF Truth, DDDD Doubles SCHD & Undervalued Dividend Picks

Episode 38

Covered call ETF debate (JEPI/SPYI/XYLD/NAV erosion), YieldMax DDDD doubling SCHD yield, doubling dividend income with covered calls on TROW/PRU, und…

5 months, 2 weeks ago

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Ep. 37: Comeback Stocks, Beginner Portfolios & the Dividend Risk Spectrum

Episode 37

We break down comeback stories from Target and Moderna, build a $50K beginner income portfolio with STK/SPYI/IDVO, honestly assess YieldMax high-yiel…

5 months, 3 weeks ago

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Ep. 36: ETF Rotation, Yield Trap Warnings & Kimberly-Clark Merger Deep Dive

Episode 36

Today's episode covers the great rotation as wealthy investors shift from tech into gold, international equities, and small-cap funds. We break down …

5 months, 3 weeks ago

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Ep. 35: De-Risking Playbook, BDC Yield Pressure & Auto-Callable Income Innovation

Episode 35

In this episode, we break down 9 institutional analyses covering: • **De-Risking Playbook** — 5 scenarios: AI bubble fears, job insecurity, retiremen…

5 months, 3 weeks ago

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Ep. 35: De-Risking Playbook, BDC Yield Pressure & Auto-Callable Income Innovation

Episode 35

Portfolio de-risking in 5 scenarios, BIZD 9% yield under rate cut pressure, international developed markets outperforming US (VEA), Trinity Capital 1…

5 months, 3 weeks ago

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