PODCAST: Silver, Bitcoin, and the Fed
Jerry breaks down the Federal Reserve’s upcoming December meeting and why he expects a 25 basis point rate cut. He also explains the end of quantitative tightening and the possible return of future QE. Jerry also covers silver’s fresh all-time high, Bitcoin’s recent weakness, and the growing tension in Venezuela as the U.S. positions itself around the world’s largest oil reserves.
Position Trading Mastery: Module 4
In Module 4, you will learn how to confirm your trade before entering, and signs that you’re entering a trade too early. Plus, how to combine the weekly and monthly timeframes for better confirmation.
PODCAST: Safe Money vs. Risk Money
Jerry Robinson introduces the Three Bucket Strategy, a simple framework that brings clarity to your financial life by organizing liquid assets, safe growth assets, and long-term risk growth. He explains why so many investors feel stress during market volatility and how proper bucket planning reduces fear, panic selling, and emotional decision-making. Plus, hear Jerry’s latest market insights on stocks, Bitcoin, gold, and more.
Position Trading Mastery: Module 3
In Module 3, Jerry Robinson reveals the two moving averages he relies on most and how to pair them with the right chart timeframes, risk assessment, and fundamental analysis. Plus, we help you navigate the ongoing crypto selloff.
PODCAST: Crypto Under Pressure (Panic or Opportunity?)
Bitcoin dips below 100K. Ethereum and altcoins slide. Stocks wobble. Gold cools off. Everywhere you look, investors are asking the same question… is this the start of something bigger? In this episode, Jerry Robinson breaks down what’s really driving the latest market pullback and why it’s about more than just crypto. Plus, hear Jerry’s timeless rules for crypto investing.
Position Trading Mastery: Module 2
In Module 2, Jerry Robinson breaks down the anatomy of big trends, how to ride them with confidence, and avoid getting shaken out by daily market noise. Plus, he unpacks the recent crypto selloff and keeps you focused on the bigger picture.
PODCAST: Riding the Trend (From Gold’s Seismic Selloff to Apple’s New Highs and More)
Jerry Robinson breaks down the latest moves across the markets — from gold’s biggest one-day selloff in a decade to Apple’s breakout to fresh all-time highs and Bitcoin’s rebound off recent lows. Plus, leveraged ETFs have quietly hit record growth. Here’s what you need to know to stay disciplined and ride the trend.
VIDEO: Buying the Crypto Dip + Bittensor 101
In this members-only webcast, Jerry Robinson reveals his newest crypto buy and explains why he’s been buying the recent crypto crash. Plus, he delves into Bittensor (TAO), exploring the reasons he is bullish long-term on this crypto AI play.
VIDEO: Our Q4 2025 DCA Investment Strategy
In this members-only webcast, Jerry Robinson shares our dollar-cost-average investment strategy for Q4 2025, including the specific stocks, ETFs, and cryptos we are buying. Plus, member updates for Q4 including our Smartscore 11 and Sector Rotation strategies.
PODCAST: Markets on the Move
Precious metals are breaking higher, crypto is trying to bounce back, and global markets like China are showing strength as we head into the final stretch of the year. In this quick episode, Jerry Robinson walks you through what he’s watching in gold, silver, platinum, Bitcoin, Ethereum, and more as we prepare for the start of Q4. Plus, a sneak peak at our new Position Trading course coming next month.
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.
VIDEO: Preparing for Fed Rate Cuts + Big Tech Updates
In this webcast, Jerry Robinson helps investors prepare for potential Fed and global rate cuts, examining inflation, M2 money supply, government deficits, and political uncertainty. He also shares fresh updates on his two largest holdings, and closes with a thought-provoking book recommendation—Jacques Ellul’s Propaganda.
Apple’s Future, Rate Cuts Ahead, and the Truth About IULs
In this webcast, Jerry Robinson explains why he remains long-term bullish on Apple, shares his latest outlook on the U.S. economy and potential Fed rate cuts, and explains why indexed universal life (IUL) policies often get a bad reputation — and how proper structuring can unlock their real value.
PODCAST: The Gold and Silver Boom of 2025
Gold and silver are in full breakout mode in 2025. In this episode, Jerry Robinson explains why the rally is happening, what it means for miners, and how investors can think strategically in this environment. He also shares his broader market commentary on stocks, Bitcoin, and more.
VIDEO: Nationalizing Intel and Nvidia Earnings Preview
In this members-only webcast, Jerry Robinson examines the U.S. government’s new 10% ownership stake in Intel and what nationalizing one of America’s leading chipmakers could mean for investors and taxpayers alike. Plus, he previews Nvidia’s upcoming earnings report, explains how to use implied volatility, and provides several key crypto charts.
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.
VIDEO: Cannabis Investing Update + Earnings Recap
In this members-only webcast, Jerry Robinson shares a fresh update on his long-term cannabis holdings with charts and analysis, reviews key earnings reports from several stock positions, and unpacks the latest CPI data and what it means for the Fed’s interest rate cut outlook.
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.
VIDEO: Our Q3 2025 DCA Investment Strategy
In this members-only webcast, Jerry Robinson shares our dollar-cost-average investment strategy for Q3 2025, including the specific stocks, ETFs, and cryptos we are buying. Plus, we just added a brand new stock and two cryptos to our long-term portfolio.
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: On The Edge of War
In this episode, Jerry Robinson explores the growing risk of U.S. involvement in the escalating Israel–Iran conflict and what it means for American interests. Later, he analyzes the Federal Reserve’s upcoming rate decision and unpacks the Senate’s passage of the Genius Act.
PODCAST: The Big, Beautiful Debt Spiral
As the U.S. national debt closes in on $37 trillion, this episode exposes Washington’s reckless spending and its dangerous long-term consequences. Jerry Robinson breaks down what it means for your money, your future, and the nation’s stability.
VIDEO: Investing Amid U.S. Credit Downgrade and Debt Expansion
In this live webcast, Jerry Robinson discusses America’s latest credit downgrade and exploding debt, along with updates to his long-term portfolio. Despite Washington’s fiscal recklessness, investing opportunities remain—and we highlight 22 new ETF position uptrend alerts.
PODCAST: Lessons from Rome, Warnings for America
In this episode, host Jerry Robinson examines the sobering parallels between the decline of ancient Rome and the trajectory of modern America. Drawing on real historical examples, Jerry outlines seven key warning signs that echo across time and offers actionable financial insights to thrive amid the decay.
VIDEO: Monthly Candlestick Analysis (May 2025)
In this live webcast, Jerry Robinson discusses the importance of analyzing monthly candlestick charts and shares many monthly charts, including Bitcoin, gold, silver, natural gas and several stocks. Plus, get our updated May watchlists for Dividend Aristocrats and Rising Stars.
PODCAST: Trade War Fallout – What’s Next for Markets?
In this episode, Jerry Robinson explores the latest GDP contraction, triggered in part by trade wars, and the impact on markets, the U.S. dollar, and investment opportunities. We also discuss Bitcoin, gold, silver, and equities in this uncertain economic environment.
Swing Trading Simplified: Module 10
As we wrap up the course with Module 10, you will learn how to use our Profit Trakker software to swing trade, get practical tips for staying consistent, and receive a valuable trading checklist to use with each trade. Plus, see what we just added to our long-term stock and crypto portfolios.
Swing Trading Simplified: Module 9
In Module 9, learn the importance of trading psychology and the key role it plays in trading success. We guide you through handling a winning streak and a losing streak, keeping trading disciplines and routines, creating an environment for success, and avoiding destructive mindsets.
Swing Trading Simplified: Module 8
In Module 8, learn how to use advanced swing trading techniques and tools, including Fibonacci levels, moving average crossovers, and divergences. Take your swing trading to the next level with these proven indicators and strategies. Plus, the latest tariff moves and key charts for traders and investors.
VIDEO: Our Q2 2025 DCA Investment Strategy
In this members-only webcast, Jerry Robinson shares our dollar-cost-average investment strategy for Q2 2025, including the specific stocks, ETFs, and cryptos we are buying. Plus, Jerry helps you navigate the “Trump Tariff” market volatility.
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.
Swing Trading Simplified: Module 7
In Module 7, learn how to create a personalized swing trading plan with daily and weekly routines, clear entry and exit checklists, and solid risk and psychological rules. We’ll also cover how to backtest and refine your strategy to build consistency and confidence. Plus, Q1 2025 is over, and we explore key takeaways and provide investors a roadmap for Q2.
Swing Trading Simplified: Module 6
In Module 6, we focus on practical entry and exit strategies for swing traders, covering optimal entry points, position scaling, market condition adjustments, choosing the right order types, and avoiding common mistakes. Plus, we help you navigate the current relief rally in the markets.
Swing Trading Simplified: Module 5
In Module 5, we focus on essential risk management techniques to protect your capital and improve long-term trading success. Learn how to calculate position size, use stop losses effectively, and combat psychological hurdles before they derail your progress. Plus, a look at the markets as all eyes are on the Fed this week.
VIDEO: Market Pullback or Bear Market? How I’m Adapting My Strategy
In this member-exclusive video, we analyze whether the market selloff is a normal pullback or the start of a bear market, discuss trade war and recession risks, and share how I’m adjusting my DCA investing strategy to navigate current conditions.
PODCAST: Tariffs, Trade Wars, and Opportunities
In this episode, Jerry Robinson explores the latest U.S. tariff increases, global retaliation, and their impact on markets, inflation, and investment opportunities. We also discuss Bitcoin’s role in policy talks ahead of the White House Crypto Summit.
Swing Trading Simplified: Module 4
In Module 4, explore chart patterns and candlestick chart techniques by learning to interpret key formations like cup and handles, dojis and engulfing patterns, while applying breakout and reversal strategies to enhance your swing trading success. Plus, we help you navigate the selloff in the NASDAQ 100, Bitcoin, and more.
PODCAST: Straight Talk on Swing Trading – Live Q&A Edition
This episode features Jerry Robinson’s live Swing Trading Q&A session. Hear top-tier questions from our members on chart timeframes, handling volatility, and avoiding overtrading. Gain expert insights on adapting to different market conditions and maximizing your trade setups. Plus, a market update on stocks, precious metals, and more.
Swing Trading Simplified: Module 3
Module 3 is all about technical indicators and stock selection. We explore three go-to indicators that can give you an edge in your swing trading, and a step-by-step process to choose quality stocks to trade. Plus, we just issued these 14 new ETF position uptrend alerts.