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In today’s episode, Kip dives headfirst into a whirlwind week on Wall Street, unpacking everything from the sudden market downturn triggered by news of Kevin Warsh’s potential appointment as Fed Chair, to lessons in smart portfolio management. You’ll hear Kip break down why diversification is king, explore the wild swings in gold, silver, and Bitcoin and explain why fear and greed are an investor’s greatest challenges. He shares insight on sentiment indicators, like the January barometer, and why this year could be one for the record books, despite a few bumps along the way. Kip also offers his take on geopolitical risks, including the situation around Iran, and gives practical trading advice about the best days to buy and sell. Plus, don’t miss his candid analysis of the potential impact of Kevin Warsh at the Fed, why Wall Street might be overreacting, and why certain market moves signal smart buying opportunities.Tune into today's podcast to learn more. |