The Fed is about to change course — interest rate cuts, inflation surprises, and markets on edge.In today’s episode, I break down what’s really happening this week and how it could shape the months ahead.From tech earnings to macro shifts, everything’s connected.Grab your coffee — this one’s packed with insight. ☕
Why is gold skyrocketing in 2025 and how should you invest?We break down the key factors affecting gold prices: interest rates, inflation, and the US dollar.Learn five ways to invest in gold and which are best for your portfolio.
The Fed just dropped a quiet bombshell — Quantitative Tightening might end this quarter. What does that mean for stocks, bonds, and inflation? In this episode, we break down how this shift in monetary policy could trigger the next leg of the bull market, which sectors could benefit first, and why liquidity still rules everything in finance.
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Artificial Intelligence is more than just a trend—it’s a historic revolution affecting every industry. In this episode, we dive into a less obvious yet highly profitable segment of the AI boom: energy, infrastructure, and electrical engineering companies positioned at the start of the AI value chain. Learn why some of these companies are generating cash before the AI itself even delivers results, and how smart positioning can turn the AI wave into real investment gains. We also share insights on swing trading opportunities, technical analysis, and why cash-first businesses can minimize risk while capitalizing on this technological surge.
The markets just saw their biggest drop since April — all triggered by one wild post from Donald Trump.But was it really about tariffs, or was the market simply overheated and ready to fall?In this episode, we break down what happened, why it matters, and why corrections aren’t always bad news.Honest talk, real analysis, and no panic — just market truth.
Markets just dipped after Oracle’s latest report — and it might be the first real warning sign for investors.Is all this AI spending actually profitable, or is Wall Street overhyping the boom?In this episode, we break down what’s happening, why it matters, and how to stay smart through the noise.Quick, real, and packed with insight for active investors.
Japan’s Nikkei just skyrocketed 5% in a single day after the election of a new Prime Minister. 🚀But what does this political shift really mean for stocks, the yen, and the global economy?In this episode we break down the boom, the risks, and whether Japan is the next big opportunity.Grab your headphones and let’s unpack the market buzz together!
In this episode, I break down whether it still makes sense to invest in European equities through the EuroStoxx 50. We’ll cover performance vs. the S&P 500, valuations, key companies like ASML and SAP, and what’s really driving the rally. Practical insights for investors who want smarter exposure to Europe.
In this episode, I break down the U.S. government shutdown—what it really is, why it happens, and how it impacts the markets. From volatility and risk management to past shutdowns and market recoveries, I share my take as an investor. Stay calm, ignore the noise, and learn how to navigate moments like this without fear.
A beginner in the stock market asked me: “Arnau, what mistakes are new investors making in this bull market?” In this episode, I break down the 5 most common errors, from chasing huge returns to misunderstanding risk. Learn how to protect profits, avoid overexposure, and trade smarter in today’s markets. Perfect for beginners and anyone looking to strengthen their investing strategy.
We break down the talk about a potential U.S. debt crisis, explain why it’s unlikely, and show what it means for investors. Learn how to protect your portfolio without giving in to fear or headlines.
Quantum computing stocks are exploding—but do they make sense, or are they pure speculation? 💻⚡In this episode, we dive into market corrections, Trump’s tariffs, inflation data, and why some stocks look more like casino bets than real investments.From Quantum Computing Inc. to Opendoor, discover what’s driving the hype and where the risks really are.Smart insights, no fluff—the market explained in plain English.
Nvidia has been on a wild ride—but is it a bubble, or is this growth real? 🚀In this episode, we break down stock performance, profits, and market psychology.Learn how to protect your investments while riding the AI wave.Perfect for traders, investors, and anyone curious about the future of tech.
This week could redefine the markets.From the Fed’s latest rate cut to new all-time highs on Wall Street, plus Trump’s visa shock that could reshape Big Tech’s future—there’s a lot to unpack.We’ll break down what happened last week, what’s coming in GDP and inflation data, and where the real opportunities are hiding.Smart insights, real strategies, and no fluff—your 15-minute edge in the markets.
The Russell 2000 just broke out to new highs after years of consolidation—what does this mean for investors? 📈In this episode, we dive into why small and mid-cap stocks are gaining strength, the role of interest rates and AI, and how swing traders can take advantage.We’ll also uncover hidden risks behind the index and why it’s not always the best choice for indexing.Get ready for insights, strategies, and a fresh look at market opportunities you won’t hear anywhere else.
The Federal Reserve cut interest rates by 0.25%, as the market expected.Powell highlighted a weakening labor market and AI’s impact on employment.The Russell 2000 hit all-time highs, driven by AI and strong corporate earnings.Boring Capital explains how to seize these conditions for smart, transparent investing.
In this episode we discuss whether the stock market is due for a short-term correction after the recent rally in the S&P 500 and Nasdaq. We break down the impact of the Fed’s upcoming rate cut, the role of Big Tech, and why risk management is key for investors. Plus, we share insights from our Boring Capital portfolio and practical takeaways for anyone investing in the marke
In this episode, I analyze the recent tensions between Israel and Iran and their impact on global markets. Despite rising geopolitical risks, I explain why a full-blown stock market crash is unlikely. We dive into how investors are reacting, what history teaches us about conflicts and market behavior, and where I see opportunities amid the noise.
In today's episode I share my story, how I got here and how I made my fortune trading stocks.
In today's episode, I'll tell you why you should never buy a stock that's in a downward trend on the stock market if you're a retail investor.