driskinvesting
D-Risk Investing Podcast
D-Risk!: Smart Investing for the Real World Welcome to D-Risk!, the podcast that cuts through market hype to bring you clear, research-backed investing insights. Your host, with a background in finance and data, simplifies complex economic trends and stock analyses, focusing on strategy and clarity over quick tips. This is about making informed decisions to reduce risk and grow your money. While the voice is AI-generated for consistency, the analysis is 100% human-driven. Let's de-risk your investing journey, together. Disclaimer: This podcast is for informational purposes only and is not fina...
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driskinvesting
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Latest episode
Jul 4, 2026
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Episodes
Will the Nasdaq sustain its 29,902 level as liquidity dries up? 04.07.2026 5:44
Germany's DAX surged 4.49% to 25,779 as global equities capitalized on a complete fundamental vacuum. The Nasdaq rallied 1.17% to 29,902, leading a low-liquidity tech advance that completely ignored elevated 10-Year Treasury yields. Meanwhile, Gold rallied 2.66% to $4,187 as cooling US rate expectations provided a strong bid for precious metals. In commodities, Oil edged down 0.65% to $69, breakin...
Weekly Global Markets Brief - Episode 169 - Jun 27, 2026 27.06.2026 8:20
Are the glory days of the AI boom hitting a sudden roadblock? In this week’s episode of the D-Risk Weekly Global Markets Brief, we dive deep into the "AI Premium Unwind"—a massive tactical shift shaking global exchanges as investors rapidly rotate out of tech giants and into defensive postures. We break down the surprising "sell the news" reactions hitting the S&P 500 and Nasdaq, look at why t...
Weekly Global Markets Brief - Episode 168 - Jun 21, 2026 21.06.2026 9:13
In this week's D-Risk Global Markets Brief, we unpack the "Hawkish Reality Check" sweeping across global finance. As the Federal Reserve and the Bank of Japan flex their monetary muscles with aggressive interest rate policies, a massive divergence is tearing through the markets. Why are the S&P 500 and Nasdaq trading with extreme complacency while the U.S. dollar rockets higher and safe-haven...
Weekly Global Markets Brief - Episode 167 - Jun 13, 2026 14.06.2026 8:48
Are global markets pricing in a historic geopolitical relief rally, or are they blindly walking into an inflation trap? This week on the D-Risk Weekly Global Markets Brief, we break down "The Peace Dividend Paradox", a profound cross-asset decoupling triggered by hopes of a U.S.-Iran peace deal. While equity investors embrace a risk-on regime, pushing the S&P 500 and Nasdaq 100 higher as the V...
Tesla, Inc. (TSLA) - Episode 166 - Dec 28, 2025 29.12.2025 5:50
Is Tesla a generational growth engine or the market’s most dangerous value trap? With the stock trading near $475 despite a fair value model under $60, the disconnect between deteriorating fundamentals and explosive technical momentum is historic. While revenue slows, options traders are betting big on an AI-fueled breakout. We dissect the clash between the "perfect future" narrative and the hard...
Weekly Global Markets Brief - Episode 165 - Dec 28, 2025 29.12.2025 7:54
As 2025 comes to a close, a historic warning signal is flashing across the global financial system: "The Fiat Fracture." In this episode, we uncover why the U.S. Dollar is suffering a critical technical breakdown just as Gold surges to all-time highs, signaling a massive shift in how investors are protecting their wealth against currency debasement. While the S&P 500 and Nasdaq remain in a hol...
Risk & Return Explained - Episode 164 - Dec 20, 2025 20.12.2025 6:32
Think the "safest" place for your cash is under your mattress? Think again, you might be guaranteeing a loss without even knowing it. In this episode of D-Risk Investing Concepts, we break down the two essential pillars of every financial decision: Risk and Return. We’ll reveal why the "nominal value" of your savings can be a dangerous illusion and journey back to the 1600s to see how merchants ca...
Arista Networks, Inc. (ANET) - Episode 163 - Dec 20, 2025 20.12.2025 8:19
Is Arista Networks (ANET) a premier growth compounder taking a healthy breather, or is this 15% pullback the first sign of a classic value trap? As the "central nervous system" of the AI revolution, Arista boasts a fortress balance sheet and elite margins, yet technical indicators flash bearish momentum. We dissect the massive disconnect between aggressive DCF models and cooling market sentiment....
Weekly Global Markets Brief - Episode 162 - Dec 20, 2025 20.12.2025 9:19
Is it possible that "bad news" in the real economy is actually the secret fuel for a massive market rally? This week on D-Risk, we go inside the "Deflationary Melt-Up", a strange contradiction where Crude Oil is crashing while Gold and the Nasdaq 100 soar toward new heights. We explore a world of massive policy divergence, from the FTSE 100’s pivot-driven surge to the Nikkei 225’s struggle under t...
What is a Bond? - Episode 161 - Dec 13, 2025 13.12.2025 7:51
The stock market gets all the headlines, but the bond market actually calls the shots. In this episode of D-Risk Investing Concepts, we strip away the Wall Street jargon and explain exactly how bonds work. From the grain loans of ancient Mesopotamia to the war bonds of Venice, we uncover the fascinating history of debt and reveal the single "Golden Rule" of interest rates that dictates your portfo...
Roblox Corporation (RBLX) - Episode 160 - Dec 13, 2025 13.12.2025 8:07
Roblox (RBLX) lives in the imagination of millions, but its financials are telling a drastically different story. With the stock down 30% and legal headwinds mounting, a massive disconnect has emerged between Wall Street’s bullish narrative and the cold, hard data. Is this the perfect time to buy the dip on a metaverse pioneer, or is the "growth at any cost" era over? We dissect the valuation chas...
Weekly Global Markets Brief - Episode 159 - Dec 13, 2025 13.12.2025 9:04
The "soft landing" illusion has shattered. Despite a fresh Federal Reserve rate cut, the Nasdaq and S&P 500 sold off as the market finally woke up to a "Recession Reality Check." In this episode, we dissect the violent capital rotation that sent crude oil plunging while gold surged, signaling a potential global slowdown. We also analyze the dangerous decoupling between U.S. volatility and the...
What is a Stock? - Episode 158 - Dec 6, 2025 06.12.2025 4:53
Welcome to the launch episode of our new series, "D-Risk Investing Concepts," created to empower the Future Investor. This inaugural episode cuts through the market noise to define one of the fundamental elements of the financial world: The Stock. We analyze how a company secures funding, contrasting Debt (a binding loan with interest) against Equity (selling ownership for a share of potential pro...
Carvana Co. (CVNA) - Episode 157 - Dec 6, 2025 06.12.2025 6:47
This week on D-Risk Investing, we tackle Carvana's (CVNA) mind-bending rally. After nearly collapsing, the online used car giant is joining the S&P 500 at a jaw-dropping 170x forward P/E, while its fundamental valuation sits four times lower. Is this equity a genuine, debt-slashing turnaround story justified by massive operational leverage, or is the stock price running on pure, speculative mo...
Weekly Global Markets Brief - Episode 156 - Dec 6, 2025 06.12.2025 8:33
The Dollar Capitulation: Why is the market shorting the US Dollar right before the Fed meeting? This week, the U.S. Dollar Index (DXY) broke a critical technical Death Cross at 99.00, confirming a major bearish shift that is fueling an "everything rally" despite a "stagflation lite" backdrop in the U.S. While the S&P 500 and Nasdaq 100 futures consolidated, international markets (Nikkei 225, H...
Micron Technology, Inc. (MU) - Episode 155 - Nov 30, 2025 30.11.2025 8:00
The Micron Technology (MU) stock run has been monumental, but a massive disconnect is flashing across the Street: Traditional backward-looking valuation models are pricing the memory giant for disaster, while the market's forward view is betting everything on the AI supercycle and its insatiable demand for HBM and DRAM chips. This episode dissects the tension between stunning technical strength an...
Weekly Global Markets Brief - Episode 154 - Nov 29, 2025 30.11.2025 8:17
🤯 The "Bad News Bid": Why is the Market Rallying into a Global Recession? Tune in for the D-Risk Weekly Global Markets Brief as we unpack the market's shocking embrace of bad economic news, a phenomenon we call the "Bad News Bid." With consumer confidence cracking and growth forecasts being slashed from the EU to Asia, the S&P 500 and Nasdaq are climbing because investors believe this weaknes...
Pivoting Our Podcast Format - Episode 153 - Nov 16, 2025 16.11.2025 2:57
In this special episode, we're announcing a major pivot for the D-Risk Investing podcast. We explain why we're moving away from daily market briefs and stock analysis, which have a short shelf-life, to provide you with more durable, in-depth value. We're proposing a new 3-show weekly format: "The Weekly Thesis" (a forward-looking global markets analysis), the "Stock Deep Dive" (a comprehensive wee...
The Global Brief - Episode 152 - Nov 14, 2025 14.11.2025 6:30
🚨 Crisis Alert: The Data Void Shatters Market Complacency! 🚨 The crucial CPI report vanished, plunging investors and the Fed into a "Data Void" that triggered a massive risk-off cascade across global markets. Tune in as we track the fear: Nasdaq futures collapse 1.33% while the Vix explodes past 22, signaling the end of the market's bullish run. From the technical breakdown of the German DAX and...
Applied Materials Inc (AMAT) - Episode 151 - Nov 14, 2025 14.11.2025 4:48
AI Boom vs. Valuation Headwind: Applied Materials: The semiconductor giant, Applied Materials (AMAT), just reported a record year fueled by the relentless AI buildout, so why is the stock crumbling? While fundamentals remain electric, a stretched valuation and new geopolitical risks around China spending are creating a major rift. The charts are flashing sell signals, suggesting the powerful bull...
Nu Holdings Ltd (NU) - Episode 150 - Nov 14, 2025 14.11.2025 4:52
The Brazilian fintech giant, Nu Holdings (NU), just delivered blockbuster earnings and an AI-first strategy, yet the stock sold off sharply. Is this a healthy pause or is a stretched valuation finally winning the battle against stellar fundamental growth? We dive into the technical analysis and market sentiment to explore the core conflict—a rocket stock potentially running out of fuel in a risk-o...
The Global Brief - Episode 149 - Nov 13, 2025 13.11.2025 6:16
Post-Shutdown Reality Check: Can We Trust the Data? Markets have traded for weeks on a powerful rate-cut fantasy, but the S&P 500 and Nasdaq futures are now pausing as the Post-Shutdown Reality Check sets in. With the crucial October CPI report's release, and integrity, in doubt, the data fog has been replaced by pure uncertainty. We break down the massive global market divergence: Gold and th...
Nebius Group NV (NBIS) - Episode 148 - Nov 13, 2025 13.11.2025 4:53
Growth Monster or Dilution Danger? AI infrastructure hyper-grower Nebius Group just landed a massive three-billion-dollar deal with Meta, yet the stock is collapsing under intense selling pressure. The story is a spectacular growth narrative powered by soaring revenues and bullish analyst price targets, but the harsh reality of cash burn and a new equity offering is signaling a flooded share suppl...
Rigetti Computing Inc (RGTI) - Episode 147 - Nov 13, 2025 13.11.2025 4:53
Quantum Catastrophe? Rigetti Computing (RGTI) is caught in a profound conflict: Wall Street analysts are overwhelmingly bullish on its world-changing quantum technology, yet our intrinsic value models are flashing a deeply concerning negative valuation. As the stock hemorrhages gains and the market holds its breath for today's CPI report, the question becomes: Is this a healthy correction in a fut...
The Global Brief - Episode 146 - Nov 12, 2025 12.11.2025 6:00
Rate-cut fever has intensified, cementing a high-conviction market bet that bad economic news is unequivocally good news for asset prices. U.S. equities are soaring, Gold is at fresh highs ($4,135.60), and volatility is complacent ($VIX 17.16). Yet, bond and currency traders are showing caution (10Y Yields steady at 4.12%), and crude oil ($60.17) is pricing in the very economic weakness that's dri...
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