Circle Of Insight Productions

It’s the Economy

Business EN ↓ 49 Folgen

Welcome to It’s the Economy, a data-driven podcast exploring the forces shaping markets, policy, and the global economy. Each episode delivers clear analysis of stock market trends, macroeconomic indicators, Federal Reserve policy, inflation dynamics, and key legislation affecting businesses and investors. From sector rotations and geopolitical risks to fiscal policy and economic data releases, we break down what the numbers actually mean for markets, businesses, and everyday Americans — with context, technical insights, and real-world implications.

Autor

Circle Of Insight Productions

Kategorie

Business

Podcast-Website

www.spreaker.com

Neueste Folge

8. Jun 2026

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AI Boom or Bust? Decoding the JOLTs Surge and the Future of Work in 2026 08.06.2026

Recent JOLTs data shows U.S. job openings surging to 7.6 million in April 2026, driven largely by a massive spike in professional and business services—fueling speculation that AI is creating more demand than it destroys. This episode explores the dual realities of AI’s impact: jobs lost to automation, new roles exploding in tech and data, and the reshaping of millions of positions in between. We...

AI-Driven Resilience Meets Strong Services Data: Equities, ADP Jobs, ISM PMI, and Fed Transition Insights on June 3, 2026 03.06.2026

This special report examines today’s key U.S. economic releases, including robust ADP private employment growth and an accelerating ISM Services PMI, set against ongoing artificial intelligence momentum and corporate valuations in technology. It assesses equity market performance, macroeconomic signals, and implications of the Federal Reserve leadership transition amid persistent inflation concern...

AI Resilience Amid Fresh Economic Signals: Equities, ISM Data, and Fed Transition Dynamics on June 1, 2026 01.06.2026

This special report reviews the latest U.S. economic indicators released on June 1, 2026, including stronger-than-expected ISM Manufacturing PMI and construction spending data, alongside equity market movements and ongoing artificial intelligence momentum. It evaluates corporate valuations in technology against macroeconomic headwinds and the implications of the Federal Reserve leadership transiti...

AI Momentum Versus Macro Headwinds: Corporate Valuations and Fed Transition in 2026 31.05.2026

This special report analyzes the dynamic interplay between surging artificial intelligence investments and persistent macroeconomic challenges shaping the U.S. economy in 2026. It examines robust corporate valuations in the technology sector alongside moderating GDP growth and evolving Federal Reserve policy expectations amid leadership transitions. Listeners will gain structured insights into inv...

Markets in Focus: Trade Improvements, Geopolitical Easing, SpaceX valuation, and Persistent AI Strength Drive Modest Advances 29.05.2026

On May 29, 2026, U.S. equity markets posted modest gains as positive trade balance data and strong regional manufacturing signals combined with easing geopolitical tensions from a potential U.S.-Iran truce extension. Commodities reflected shifting risk sentiment with oil prices declining while gold held firm above elevated levels. This episode examines the key economic releases, market movements,...

Navigating Crosscurrents – U.S. Economic Data, Equity Markets, and Geopolitical Developments on May 28, 2026 28.05.2026

U.S. equity markets exhibited cautious trading patterns following the release of mixed economic indicators, with major indices showing modest declines amid concerns over moderating growth and persistent inflation. The S&P 500 and Nasdaq Composite each retreated approximately 0.4 to 0.7 percent in morning sessions, as investors digested the downward revision in first-quarter GDP and elevated co...

Market Pulse: Micron Surge, US-Iran Peace Deal Progress, and Equity Market Resilience – May 27, 2026 27.05.2026

This episode provides a real-time evaluation of U.S. equity markets, spotlighting strong performance in individual stocks such as Micron Technology amid broader index advances supported by technological innovation. It features technical assessments for major indices and gold, analysis of today’s domestic economic indicators including the Conference Board Consumer Confidence Index, and internationa...

Market Pulse: Real-Time Insights into Equities, Gold, and Global Influences; consumer confidence, missile strikes and more– May 26, 2026 26.05.2026

This episode provides a live assessment of U.S. equity markets as they trade amid sustained momentum from technological advancements and corporate performance. It delivers current technical evaluations for major indices and gold, alongside analysis of today’s domestic economic releases, including the Conference Board Consumer Confidence Index, and relevant international economic factors. Furthermo...

Bond Market Reckoning: 5.19% Yields, the Iran Oil Shock, Surging Inflation, and America’s $39 Trillion Debt Challenge- Japan bonds and gold 24.05.2026

US 30-year Treasury yields have climbed to 5.19%—the highest since 2007—fueled by the 2026 Iran conflict disrupting the Strait of Hormuz, pushing oil above $100/barrel and reigniting inflation pressures. This expanded episode summarizes The Kobeissi Letter’s urgent thread, integrates the latest data from the BLS, Treasury, EIA, and mortgage markets, deepens the debate with historical parallels and...

Global Markets Pulse – Economic Data, Policy Signals, and Market Dynamics on May 22, 2026 22.05.2026

This episode reviews the principal economic indicators released on May 22, 2026, including U.S. leading indicators, consumer sentiment, and international GDP figures, together with an assessment of their implications for growth, inflation, and monetary policy. We deliver updates on equity, commodity, and bond markets, with technical observations and an overview of geopolitical factors shaping inve...

Global Markets Pulse – Economic Data, Policy Signals, and Market Dynamics 21.05.2026

This episode examines the latest U.S. and European economic indicators released today, alongside the Federal Reserve’s April meeting minutes from yesterday, assessing their implications for growth, inflation, and monetary policy. We provide updates on equity, commodity, and bond markets, incorporating technical analysis and key geopolitical developments influencing investor sentiment. Join us for...

Global Yield Spillovers, The FOMC Minutes, META job losses and Emerging Market FX Pressure 20.05.2026

This episode analyzes a highly active global data print day, highlighting how a surprise deceleration in UK inflation to 2.8% triggered a drop in US Treasury yields to lift domestic equity futures. We trace the international macro ripple effects, from defensive interest rate hikes in emerging markets like Indonesia to the structural gridlock remaining in the US housing sector. Finally, we preview...

Market Pulse: Tokenized Stocks Breakthrough, Korean Leverage Surge, and Geopolitical Oil Tensions 19.05.2026

Today’s episode examines the SEC’s anticipated “innovation exemption” for tokenized stocks, a pivotal step toward integrating digital assets with traditional securities on decentralized platforms. We analyze surging South Korean margin debt reaching record levels amid aggressive retail betting on semiconductors, alongside broader U.S. and global market movements influenced by elevated oil prices a...

Markets in Focus: Global Inflation Pressures, Japan’s Policy Shift, Trump and China meeting and Tech Resilience 18.05.2026

This episode analyzes accelerating global inflation driven by energy shocks, key economic announcements from the United States, Japan, Europe, China, and other regions, along with their implications for the U.S. economy. We provide technical perspectives on gold and silver, broader market technical analysis, and assessments of geopolitical developments. Additionally, we examine hedge fund allocati...

The Healthcare Jobs Illusion: Why America’s “Strong” Economy Is Built on a Single Sector 17.05.2026

Since December 2023, the U.S. healthcare and social assistance sector has added 1.76 million jobs while the rest of the private sector has lost nearly 128,000. This extreme concentration reveals a labor market dangerously reliant on one industry driven by demographics rather than broad-based growth. In this episode, we unpack the data, explore the implications for workers, businesses, and the Fed,...

Global Markets in Focus: Trump-Xi Summit, Fed Transition, Bond Market Pressures, and Strategic Reserve Moves 15.05.2026

In today’s edition, we unpack President Trump’s high-stakes summit with Chinese President Xi Jinping, including fresh updates on trade, Iran, and energy security. We assess the implications of Federal Reserve Chair Jerome Powell’s departure as the central bank navigates persistent inflation, alongside sharp moves in U.S. and U.K. bond markets, robust retail investor participation in equities, gold...

New Fed Chair’s First Major Test: Latest Economic Reports, Stock Market Reaction & Cisco’s Move 14.05.2026

April retail sales advanced 0.5 percent month-over-month in line with forecasts, underscoring steady consumer demand, while initial jobless claims rose modestly to 211,000, signaling slight labor-market softening. Import and export prices climbed sharply on energy costs, reinforcing yesterday’s hotter-than-expected producer-price data. Kevin Warsh was confirmed as the new Federal Reserve chair, an...

CPI at 3.8% Amid Iran Shock & Trump-Xi Summit: Nvidia Spotlight, Fed Outlook, Commodities, Equity Rotation & Gold Technicals 13.05.2026

April CPI data show U.S. inflation reaccelerating to 3.8 percent year-over-year, highest since May 2023, driven by energy costs from the Iran conflict, as President Trump engages in high-stakes talks with Xi Jinping in Beijing. This episode provides authoritative analysis of the latest CPI, Fed signals, deep commodity trends, equity dynamics, and sector rotation, with precise technical breakdowns...

CPI Surges to 3.8% on Energy Shock, Markets Pull Back: Fed Outlook & Gold Technicals | It’s the Economy 12.05.2026

April CPI data released today shows U.S. headline inflation accelerating to 3.8% year-over-year—the highest since May 2023—fueled by energy costs amid Middle East tensions, with core at 2.8%. Oil prices surge above $101 WTI while equities retreat from records, the S&P 500 and Nasdaq under pressure from tech weakness. This episode provides precise technical analysis on gold and broader markets,...

Inflation Reacceleration, Oil Surge, and Market Records: Fed’s Next Move | It’s the Economy Stupid – May 11, 2026 11.05.2026

As April CPI data arrives tomorrow, the latest March figures show U.S. inflation rebounding to 3.3% year-over-year—driven by energy—while today’s Existing Home Sales report and surging oil prices from U.S.-Iran tensions add fresh pressure. Fed officials signal caution on rate cuts amid sticky inflation, with markets holding near record highs in the S&P 500 and Nasdaq. This episode delivers pre...

The Great Rotation: Why Big Tech Is Stalling While Energy, Financials, and Small Caps Surge in 2026 10.05.2026

A major capital rotation is underway in U.S. markets, with investors shifting away from high-valuation Big Tech stocks toward energy, financials, small caps, and value sectors. This episode examines the economic data, technical signals, and geopolitical factors driving this shift, along with the psychological forces influencing investor behavior. A data-driven look at what the Great Rotation means...

The Great Rotation: Why Investors Are Leaving Big Tech and Where Capital Is Flowing Next — Weekend Market Report 10.05.2026

Markets are undergoing a major sector rotation as capital shifts away from high-valuation Big Tech into energy, financials, industrials, and small caps. This Sunday deep dive explains the economic, rate, valuation, and geopolitical forces driving the move, the behavioral biases at play, and the specific investment opportunities emerging in the new leadership sectors. Practical takeaways for invest...

CPI Reacceleration to 3.3% YoY, Fed on Hold, Next Week’s CPI & PPI Eyed for Gold Impact: Technicals and Outlook 08.05.2026

Authoritative breakdown of March CPI’s rise to 3.3% year-over-year amid energy pressures, Federal Reserve policy signals, commodity trends, and precise technical analysis for gold and equities. We examine how next week’s April CPI, PPI, and related releases could directly influence gold prices through inflation expectations and Fed policy implications. Business & Finance; secondary: Government...

CPI Reaccelerates to 3.3% — Why the Fed Held Rates and What It Means for Gold, Markets & 07.05.2026

In this data-driven episode of It’s the Economy, we break down the latest CPI surge to 3.3% year-over-year — its highest level since May 2024 — driven by a sharp 12.5% energy spike amid Middle East tensions, alongside the Federal Reserve’s decision to hold rates at 3.50%–3.75% despite internal dissent. We provide clear technical analysis on gold trading near record levels, key support and resistan...

Gold Technicals Breakout on 3% Surge, S&P 500 Nears Records Amid US-Iran Peace Hopes – Economic News & Analysis 06.05.2026

market podcast for May 6, 2026, delivering professional analysis of today’s economic news including US-Iran peace deal developments, Q1 GDP growth of 2.0 percent, sharply falling oil prices, and persistently high US gas prices above $4.50 per gallon. This episode provides in-depth technical analysis on gold’s 3 percent surge with key support and resistance levels plus strong buy signals, alongside...

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