Market wrap focused on the escalating tensions between the US and China
US cities start opening up and the US escalates tensions with China
What will it take of the markets to truly care that no trade deal will be done?
As the melt up continues don’t ignore the issues in Hong Kong
Hour 2 – Politics and The US Ecomomy
China/US Trade Updates and The Result on Fed Policy
Jobs data…and an otherwise blah market day after yesterday’s fireworks
Trade Wars Are Getting Worse But Here Are Some Potential Optimistic Outcomes
G7 takeaways, Trump as the new PPT, and the environment that supports safe assets
Yields, China Issues, and a look ahead to next week’s news
Now is the time to be in defensive mode with your portfolio
The disconnect behind labeling China a currency manipulator
Breaking Down the Trump Xi Meeting, North Korea Meeting, and Market Reactions
How to position your portfolio into a news heavy weekend
What can we reasonably expect to come out of the G20 meeting?
Hour 1 – What’s Driving The Continued Move Into Safe Haven Assets
Hour 1 – Featuring Jesse Felder, Mike Larson, Rick Rule, and Joe Mazumdar!
US and China Tensions Are Going To Get Worse Before They Get Any Better
Market Wrap – Could China Drop Out Of The WTO and Cause A Major Divide In The World
Looking at Huawei’s roll in the US/China trade war