PODCAST: Washington’s Runaway Debt Machine
Jerry Robinson breaks down the latest shocking U.S. fiscal data and explores why the Federal Reserve is cornered into cutting rates. Plus, we explore how $7.5 trillion parked in money markets could soon flood back into risk assets, and how our January 2025 Market Outlook is tracking as Q3 ends.
PODCAST: All Eyes on the Fed
Jerry Robinson explores the growing showdown between the White House and the Federal Reserve on interest rate cuts, sharing his forecast for rate cuts. Later, he shares timely market analysis on U.S. stocks (tech stocks in focus), gold, Bitcoin, and more.
PODCAST: Crypto Clarity Incoming (White House Digital Asset Paper Release + Fed Holds Rates)
Jerry Robinson explores the upcoming release of the White House Digital Asset Paper and this week’s Fed policy decision. Other topics include Ethereum treasury companies and M2 money supply. Later, he shares timely market analysis on U.S. stocks, gold, oil, Bitcoin, and more.
PODCAST: Crypto Week on Capitol Hill
In this episode, Jerry Robinson explores the latest crypto legislative developments in Washington and shares key insights on the S&P 500, U.S. Dollar, Bitcoin, and Nasdaq 100. From political power plays to price action in the markets, this episode is packed with updates and thoughtful commentary.
PODCAST: The Pivot Beneath the Panic
In this episode, Jerry Robinson reviews the market turbulence and standout performers of the first half of 2025, then shares his strategic outlook for the second half. Topics include tech, crypto, Fed policy, Smartscore 11 performance, and key risks to watch.
PODCAST: Tariffs, Trends & ETF Winners
This episode explores the top-performing and worst-performing ETFs of 2025 so far, analyzes the latest tariff tensions from the Trump administration, and provides a broad market update on stocks, commodities, and crypto. Jerry closes with practical insights on staying grounded amid market uncertainty.