Episodios

  • Is This a Healthy Pullback? Q1 Market Recap & What Comes Next
    Apr 4 2026
    The first quarter of 2026 is officially in the books and it didn’t come quietly. Markets delivered a volatile start to the year, with the S&P 500 down around 4% year-to-date despite a massive rebound day to close out the quarter. Meanwhile, oil prices surged above $100, Treasury yields climbed, and the market narrative continues to shift quickly. We also touch on how volatility impacts markets and structured note pricing and where opportunities may rise beneath the surface. And of course - we wrap it up with some fun: Spring is here, Easter is around the corner, and the team shares their seasonal traditions, and whether Minnesota spring lives up to the hype 🌷 Join Tyler Ellegard, Keith Gangl, and Lisa Schreiber for markets, insights, and a little fun!
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  • Are Safe Havens Breaking? Why Gold Is Falling & Treasury Yields Are Rising
    Mar 28 2026
    Safe havens are supposed to protect investors during times of crisis… so why are they failing right now? In this episode, we unpack a market environment that’s breaking the usual playbook: • Gold is down about 20% from its recent highs • Treasury yields are surging instead of falling • Rate cut expectations have completely flipped We dig into what’s really driving markets right now - from inflation pressures and rising yields to shifting Fed expectations - and what it means for portfolios going forward. We also discuss: • Whether markets are close to a bottom despite geopolitical conflicts • Why defensive sectors look expensive while cyclicals may offer opportunity • And where we’re seeing opportunities in today’s environment And for a lighter twist at the end… Is the metaverse officially dead — or just down (a lot)?
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  • Rate-ificial Intelligence | Fed Rate Decision & AI's Market Impact
    Mar 21 2026
    The Fed takes center stage today — and AI is stealing the spotlight right alongside it. In this episode, we break down the Federal Reserve's rate decision, why markets aren't expecting much movement for the rest of the year, and whether the Fed is quietly keeping one eye on oil prices even when they say they're not. We also dive deep into AI — from the Citrini Research report that kicked off the software selloff, to AI agents that are starting to act rather than just answer, to the real story on job displacement and which workers should actually be paying attention. Join Tyler Ellegard, Keith Gangl, and Lisa Schreiber for markets, insights, and a little fun!
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  • Oil Volatility Explained: War, Inflation Risk, and What Investors Should Do
    Mar 14 2026
    Oil markets have been on a wild ride lately. Prices briefly surged toward $120 per barrel before retreating sharply, marking one of the largest one-day reversals on record and highlighting just how volatile energy markets can become during geopolitical conflicts. In this episode, we break down what’s driving the recent oil price swings and why events in the Middle East - responsible for roughly one-third of global oil production - can quickly ripple through global energy markets. We also discuss the importance of the Strait of Hormuz, one of the world’s most critical oil shipping routes. We explore how higher oil prices act like a tax on consumers, their potential impact on inflation and economic growth, and which industries feel the pressure most - including airlines, transportation and consumer sectors. We also look at whether companies can pass higher costs on to consumers and whether there may also be winners during periods of energy volatility.
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  • Markets at War: What Happens to Stocks During Global Conflicts?
    Mar 7 2026
    Global conflicts are back at the center of financial markets. After initially shrugging off geopolitical tensions earlier in the week, markets quickly reversed as volatility surged. In this episode, we discuss how markets historically react during geopolitical crises, why oil supply and key shipping routes like the Strait of Hormuz matter for the global economy, and which sectors tend to benefit during periods of conflict - as well as which sectors typically face headwinds. We also look at whether Treasuries and gold still serve as safe havens in times of rising geopolitical uncertainty. Finally, we examine the viral “2028 Global Intelligence Crisis” report from Citrini Research, which explores a hypothetical future where rapid AI adoption disrupts jobs, consumption, and the broader economy.
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  • Supreme Court Overturns U.S. Tariffs - What Comes Next?
    Feb 28 2026
    This week, we break down the Supreme Court’s big ruling on U.S. tariffs - what it means for the $170 billion already collected, how the effective tariff rate drops, and why markets barely reacted. We also dig into the next steps: can tariffs return under different rulesets, and what that means for investors and portfolios. From a market perspective, we break down how this ruling shifts trade uncertainty, influences inflation outlooks, and what it could mean for the US consumer and companies. We also touch on key takeaways from the State of the Union speech. Join Keith Gangl, Kyle Bergacker, Tyler Ellegard & Lisa Schreiber for a practical discussion on markets, trade policy, and portfolio positioning - always with a touch of fun!
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  • Where To Find Opportunity In This Market Selloff: Lunar New Year, AI Fear & Stock Picks
    Feb 21 2026
    We’ve entered the Year of the Fire Horse 🔥🐎 This week, we break down whether the Lunar New Year market effect is real and where it shows up most. We also dig into a surprising stat: older generations now spend more time on their phones than younger ones - is it productivity, changing habits, or doomscrolling? On the markets side, we tackle the AI-driven selloff, why it’s spreading beyond just software stocks, and why investors are hesitant to buy the dip. Is this AI paralysis, cognitive overload, or the start of a true stock-picker’s market? We also discuss some stock picks unfairly caught in the selloff that could be positioned for a strong rebound. We wrap things up with some fun: a Pokémon card that sold for $16.5 million?! We ask: what hidden treasure might be sitting in your basement or attic that could be worth some serious money some day?
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  • AI Disruption, Volatility & Stock-Picking Wisdom with Gradient’s EVP Chad
    Feb 14 2026
    In this episode, we break down the sharp equity rotation sparked by rising AI disruption risk, with software and other data-intensive industries selling off across regions. The MSCI World Momentum Index delivered its 5th largest sell-off versus the market since 1995, while volatility gauges flashed warning signs beneath the surface. What does this all mean – we break it down! We’re joined by Chad Roesler, Executive Vice President at Gradient Financial Group and with the firm since the very beginning. Chad shares his personal path with the firm, how Gradient has evolved over time, and how that long-term perspective shapes the way he thinks about markets today. Chad also sprinkles in hard-earned wisdom on stock picking, shares his thoughts on “green money” - including annuities and life insurance - and adds a few fun personal insights into what and how he likes to watch sports.
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