Excess Returns
Excess Returns
Excess Returns is dedicated to making you a better long-term investor and making complex investing topics understandable. Join Jack Forehand, Justin Carbonneau and Matt Zeigler as they sit down with some of the most interesting names in finance to discuss topics like macroeconomics, value investing, factor investing, and more. Subscribe to learn along with us.
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Excess Returns
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Podcast website
Latest episode
Jul 9, 2026
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Episodes
46% of the S&P 500 is One AI Bet | Kai Wu on Why It’s Likely the Wrong One 10.02.2026 1:02:26
In this episode of Excess Returns, Kai Wu of Sparkline Capital returns to discuss his latest research on AI adoption, ROI, and what it all means for investors. Building on his prior work on the AI CapEx boom, Kai tackles the trillion dollar question at the center of today’s market: Is AI generating real, measurable economic returns across the broader economy, or are we still in an infrastructure-d...
It’s Only a Question of When | Nir Kaissar on AI, Private Credit and the Regime Shift Investors Miss 09.02.2026 1:04:35
In this episode of Excess Returns, we sit down with Bloomberg Opinion columnist Nir Kaissar for a wide-ranging conversation on markets, AI, interest rates, private credit, small caps, and the risks investors may be underestimating. Nir shares his unexpected predictions for 2026, challenges the consensus on Fed rate cuts, explains why high profitability may be putting a floor under valuations, and...
$70 Billion. 18 Straight Outperforming Years | David Giroux on the Index Trap and AI Hype 07.02.2026 1:04:42
David Giroux, CIO of T. Rowe Price and manager of the Capital Appreciation strategy, joins Excess Returns for a wide ranging discussion on market valuation, AI investing, Mag 6 dynamics, utilities, healthcare, fixed income, and how to think independently in volatile markets. David shares his framework for exploiting structural market inefficiencies, why market drawdowns can create opportunity, how...
Lowest Cash Levels Ever | Kevin Muir on Markets at Extremes 04.02.2026 1:10:01
In this episode of Excess Returns, we sit down with Kevin Muir, author of The Macro Tourist, for a wide-ranging conversation on market sentiment, asset rotation, and the growing signals of stress beneath the surface of global markets. Kevin explains why extreme bullishness can be dangerous, why gold and commodities may be flashing warning signs, and how shifts in currencies, energy, and global cap...
The Market That Bites Back | Victoria Greene on Surviving the Badger Market 02.02.2026 1:00:11
In this episode of Excess Returns, we sit down with Victoria Greene of G Squared Private Wealth for a wide-ranging conversation on markets, macro risk, portfolio construction, and how investors should think about 2026 and beyond. Victoria brings a pragmatic, risk-aware framework to investing, blending top-down macro analysis with bottom-up fundamentals, technicals, and a strong focus on cash flow,...
Last Call: January 2026 | AI Capex, Private Credit Problems and the Unstable Market 31.01.2026 1:07:24
Follow Last Call on Spotify Follow Last Call on Apple Podcasts Join Jack Forehand and Matt Zeigler for the premiere episode of Last Call , a new monthly market wrap show where we go beyond the headlines to deliver actionable investment insights — and have a little fun along the way. Instead of focusing on index performance or short-term moves, we step back and connect the dots between macro instab...
The Bubble You Can’t Exit | Dan Rasmussen on the Private Equity Trap 29.01.2026 55:15
In this episode of Excess Returns, we’re joined again by Dan Rasmussen of Verdad Advisors for a wide-ranging conversation that challenges some of the most popular narratives in markets today. From private equity and private credit risks to AI-driven capital cycles and overlooked opportunities in biotech and international equities, Dan offers a deeply research-driven perspective on where investors...
30 Times Earnings Isn't Expensive | Chris Mayer & Robert Hagstrom on the Labels That Destroy Returns 28.01.2026 1:14:44
In this episode of our new show The 100 Year Thinkers, Chris Mayer and Robert Hagstrom explore how the words investors use quietly shape the decisions they make — often in destructive ways. From labels like “cheap,” “expensive,” and “compounder” to debates about valuation, concentration, and AI, the conversation digs into how language collapses uncertainty into false certainty. Drawing on general...
60-20-20 Changed Everything | Tony Greer on the New Portfolio Regime 27.01.2026 1:00:54
In this episode of Excess Returns, we sit down with TG Macro founder Tony Greer to explore why markets are increasingly signaling a loss of faith in institutions and what that means for investors heading into 2026. Tony lays out a framework that connects inflation, central bank credibility, political risk, global regime change, and shifting consumer behavior into a coherent macro narrative. From g...
You’re Waiting for the Bubble to Burst | Jan van Eck on Why It Already Has 25.01.2026 1:03:00
In this episode of Excess Returns, we sit down with Jan van Eck, CEO of VanEck, to discuss how long-term macro forces are shaping markets and investment opportunities. Jan shares how his firm thinks about government spending, monetary policy, and technology, why he believes investors have more visibility than they realize heading into 2026, and how trends like artificial intelligence, gold, and gl...
The Crash That Won’t Come | Redfin Chief Economist Daryl Fairweather on the Great Housing Reset 24.01.2026 1:00:44
In this episode of Excess Returns, Redfin Chief Economist Daryl Fairweather joins Matt Zeigler to unpack what she calls the Great Housing Reset. Rather than a housing crash or correction, Fairweather argues the market is entering a multi year transition toward something more normal, where incomes gradually catch up to home prices and affordability improves at the margin. The conversation covers mo...
The Chart of Truth Is Turning | Rupert Mitchell on the Regime Change Investors Are Missing 22.01.2026 1:01:05
In this episode of Excess Returns, Rupert Mitchell returns to break down a rapidly shifting global macro landscape and explain how he is positioning across regions, assets, and market regimes. The conversation spans emerging markets, commodities, China, Latin America, US market leadership, and the risks building beneath familiar narratives. Rupert walks through the charts, frameworks, and portfoli...
10 Cents on the Dollar | Gary Mishuris on Mispriced Fear and Lessons from Warner Brothers 21.01.2026 1:03:25
In this episode of Excess Returns, we sit down with Gary Mishuris, Managing Partner and CIO of Silver Ring Value Partners, to explore how deep fundamental analysis, behavioral insight, and disciplined process come together in real-world investing. Gary shares formative lessons from his early career at Fidelity during the post-tech bubble period, including firsthand experiences learning from legend...
The Line We Can't Cross | Mike Green on the Passive Investing Endgame 20.01.2026 56:17
In this episode of Excess Returns, we sit down with Mike Green of Simplify Asset Management for a deep dive into how passive investing has reshaped market structure, altered price discovery, and created new sources of systemic risk beneath the surface of today’s equity markets. Mike explains why index funds are not as passive as most investors believe, how daily flows drive prices in increasingly...
Disbelief Is the Real Risk: Gene Munster and Doug Clinton on Why the AI Bubble is Just Getting Started 18.01.2026 59:36
This episode of Excess Returns features Gene Munster and Doug Clinton breaking down their 2026 technology and market predictions, with a deep focus on artificial intelligence, big tech, and where investors may be misreading the current cycle. The conversation explores how far along the AI bull market really is, what fundamentals still support it, and where the biggest opportunities and risks may e...
The Bubble Most Will Get Wrong | Aswath Damodaran on How He is Managing His Own Money in a World of AI 16.01.2026 1:02:08
In this episode of Excess Returns, Professor Aswath Damodaran joins Matt Zeigler and Kai Wu for a wide-ranging conversation on valuation, portfolio construction, and how investors should think about risk, discipline, and opportunity in a market shaped by AI, market concentration, and rising uncertainty. Damodaran walks through how he builds and manages his own portfolio, why price matters more tha...
The Great Moderation Is Over | Liz Ann Sonders on What Replaces It 14.01.2026 59:27
In this episode of Excess Returns, we welcome back Liz Ann Sonders to discuss the evolving market and economic landscape heading into 2026. The conversation focuses on why this cycle feels fundamentally different, how instability rather than uncertainty is shaping investor behavior, and what that means for inflation, the labor market, Federal Reserve policy, and equity markets. Liz Ann breaks down...
The Regime Shift No One is Prepared For | Grant Williams on the 100 Year Pivot 12.01.2026 1:01:24
This episode of Excess Returns features a wide ranging conversation with Grant Williams on what he calls the hundred year pivot. Grant explains why today’s environment feels fundamentally different from the last several decades, why long held investing assumptions may no longer apply, and how declining trust in institutions, money, and markets is reshaping the global financial system. Drawing on h...
Sold At "Irrational Exuberance". Still Lost Money | Sam Ro on the Bubble Paradox 10.01.2026 1:10:28
In this episode of Excess Returns, we dive deep into one of the most pressing investing debates today: how to think about valuations, profit margins, and artificial intelligence in a market that feels both expensive and transformative. Sam Ro joins Matt Zeigler and Kai Wu for a wide-ranging conversation that explores whether traditional valuation tools still matter, how AI is reshaping corporate e...
Long-Term Uptrend. Short-Term Warning Signs | Katie Stockton on What Charts Say About What's Next 08.01.2026 1:02:22
In this episode of Excess Returns, Katie Stockton of Fairlead Strategies joins Matt Zeigler and Justin Carbonneau to walk through her technical outlook for markets as we head into 2026. The conversation focuses on trend analysis, momentum, volatility, and risk management across U.S. equities, sectors, international markets, and alternative assets. Rather than making predictions, Katie explains how...
It’s Not K-Shaped. It’s No Shaped | Jim Paulsen on What You're Getting Wrong About 2026 06.01.2026 57:35
Subscribe to the Jim Paulsen Show on Apple Podcasts https://podcasts.apple.com/us/podcast/the-jim-paulsen-show/id1828054999 Subscribe on Spotify https://open.spotify.com/show/3QaBDVGuBZ3cZfFZ4mqPFc In this episode of the Jim Paulsen Show, Jim Paulsen joins Jack Forehand and Justin Carbonneau to break down what the economy and markets may really be signaling beneath the headline numbers. Dr...
4% of Stocks. 100% of Wealth | Gautam Baid on the Brutal Math of Compounding 02.01.2026 56:48
In this wide-ranging conversation, Gautam Baid joins Excess Returns to discuss the principles that shaped his investing philosophy, the lessons learned through bear markets, and why compounding, patience, and quality matter far more than forecasts or short-term performance. Drawing from his books The Joys of Compounding and The Making of a Value Investor, Baid shares a deeply reflective framework...
We Read 22 2026 Market Forecasts So You Don't Have To | What You Need to Know 31.12.2025 1:02:48
In this episode of Excess Returns, Jack Forehand and Matt Zeigler dig into forecast season by reviewing and synthesizing insights from 22 major Wall Street and institutional market outlooks. Rather than treating year-end forecasts as precise predictions, the conversation uses them as a framework for understanding consensus views, hidden assumptions, and where the real risks and surprises for 2026...
The Truth No One Sees | 41 Great Investors Share Their Most Controversial Belief 28.12.2025 1:03:21
In this special compilation episode of Excess Returns , we ask one revealing question to some of the most respected investors, strategists, and market thinkers in the industry: What is one belief you hold about investing that most of your peers would disagree with? The answers challenge conventional wisdom across macro, valuation, diversification, options, forecasting, AI, and investor behavior. R...
The Base Case is Wrong | Paul Eitelman on AI, Reacceleration and the Pause No One Sees 26.12.2025 57:29
In this episode of Excess Returns, we sit down with Paul Eitelman, Global Chief Investment Strategist at Russell Investments, to unpack their 2026 outlook and the idea of a “Great Inflection Point” for markets and the economy. Paul explains why the U.S. economy may be shifting from resilience to reacceleration, how artificial intelligence is moving from hype to measurable returns, and why market l...
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