Episodes

  • Navigating Uncertain Times: Fed, Earnings, AI
    Nov 20 2024
    In this episode of The Cash Flow Academy podcast, the team dives into the current state of the markets, breaking down the Federal Reserve’s upcoming policy decision and its potential impact on interest rates. They explore the transformative role of artificial intelligence (AI) on the job market and corporate profitability, weighing short-term challenges against long-term opportunities. The conversation also delves into the upcoming earnings season and its influence on market direction, offering insights into navigating today’s economic uncertainties. Along the way, the team shares strategies for positioning portfolios to thrive in an evolving economic landscape.
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    47 mins
  • Can China & The U.S. Co-Exist?
    Nov 13 2024
    Discover how the US-China relationship will develop – or stall – in the near future. Patrick Jenevein joins Andy to discuss his hard-won insight into conducting business inside China for many decades. Jenevein analyzes how Americans should view investing opportunities in Chinese companies.
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    46 mins
  • Rate Cuts: The Fed's Balancing Act
    Nov 6 2024
    On this episode of The Cash Flow Academy podcast, Andy, Corey, and Noah dig into the Federal Reserve's recent rate cuts and their historical significance. The team explores how these moves have often foreshadowed economic downturns, drawing parallels to events like the 2007 financial crisis. They discuss the current economic climate, where inflation remains above target and unemployment is on the rise, and what that means for the Fed’s dual mandate of full employment and price stability. The conversation also emphasizes staying vigilant for market opportunities, stressing the benefits of value investing and identifying potential gains in distressed markets.
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    34 mins
  • The Power of Gold in Crises
    Oct 30 2024
    On this episode of The Cash Flow Academy, Andy Tanner sits down with Judy Shelton to discuss her upcoming book, *Good as Gold*, where she dives into the vital role of sound money. As a former senior fellow at the Hoover Institution and nominee for the Federal Reserve, Shelton brings unique insights on fiscal responsibility and the stabilizing power of gold. She critiques the Federal Reserve's expansive policies, especially during crises like 2008 and COVID-19, and explains how these actions have fueled inflation. Arguing for a return to gold-backed currency, Shelton outlines how sound money can curb excessive government spending, stabilize the economy, and support financial security for individuals and businesses alike.
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    44 mins
  • Protecting Retirement Through Education
    Oct 23 2024
    The team dives into the financial challenges facing retirees today. With 80% of older adult households financially insecure, according to a National Council on Aging report, the team stresses the importance of financial education and smart investing. They discuss strategies like asset ownership and generating cash flow to protect retirement, and warn against over-reliance on 401(k)s and reverse mortgages. The conversation highlights how a strong financial education can empower individuals to take control of their retirement and safeguard their future.
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    50 mins
  • The Real Cost of Ignoring Fiscal Sustainability
    Oct 16 2024
    Budget expert ,Brian Ried, sits down with Andy to break down the real cost of ignoring fiscal sustainability. With over 24 years of experience, Riedl explains the alarming $124 trillion shortfall looming over Social Security and Medicare in the next few decades. He highlights the uncertainty of interest rates and the unsustainable policies that have led to this crisis. Riedl calls for individuals to take financial responsibility while pointing out how both political parties have overlooked the growing debt. He emphasizes the need for voter engagement and sound stewardship to restore fiscal balance.
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    38 mins
  • Risk Management: VIX Insights for Investors
    Oct 9 2024
    Andy, Noah, and Corey dive deep into risk management strategies. They break down the role of the VIX (Volatility Index) as a key fear gauge, with Corey offering insights into its historical importance and its inverse connection to the S&P 500. The team explores practical trading strategies around the VIX, including spread trades, that can offer the potential for high returns with minimized risk.

    They also examine other market indicators, such as the PMI report, and discuss how inflation and economic policies influence market volatility. Throughout the episode, Andy, Noah, and Corey emphasize the importance of risk management, helping listeners prepare for potential market downturns with solid strategies in place.

    https://manhattan.institute/article/a-comprehensive-federal-budget-plan-to-avert-a-debt-crisis-2024
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    49 mins
  • Gold: Insights With Mark Yaxley
    Oct 2 2024
    Andy sits down with Mark Yaxley to discuss the gold market’s recent surge and the role central banks play in sustaining prices. Mark shares his deep expertise in the gold industry. The conversation explores the differences between physical gold, gold ETFs like GLD, and mining stocks, with a focus on gold as a key tool for preserving wealth.

    Mark also sheds light on silver’s potential to mirror gold's performance and the growing convenience of buying gold through platforms like Costco. They wrap up with a strong message on the importance of education for anyone looking to invest in precious metals.

    Tune in for insights on how to navigate the gold market and make informed decisions in today's economic climate!
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    41 mins