Informed Investing

Informed Investing

Business EN ↓ 101 episodes

The Informed Investing podcast distills the most relevant financial news and market articles into concise, structured insight. Each episode highlights what matters, filters out noise, and helps investors process information quickly and clearly.

Author

Informed Investing

Category

Business

Podcast website

investing.transistor.fm

Latest episode

Jul 10, 2026

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Episodes

Ep. 51: Informed Investing: High-Yield Income and Dividend Growth Strategies 30.04.2026

Episode 51 of Informed Investing

Ep. 50: Informed Investing Ep 50: Earnings Season Highlights, Discounted Stocks & Income Strategies 29.04.2026

Episode 50 of Informed Investing

Ep. 49: Dividend Growth vs High-Yield, Insider Buying & Morningstar Changes Mind 28.04.2026

Morningstar on dividends for retirees, best dividend growth ETFs, 65 high-yield ETF stress tests, QQQI/SPYI comparison, Value Line picks AbbVie, insider buying in Nike/TSM, 4 best high-yield ETFs

Ep. 48: High-Yield Strategies and Risk-Hedged Income Plans 27.04.2026

Episode 48 of Informed Investing

Ep. 47: High-Yield Investing Strategies for Dividend and Income Portfolios 24.04.2026

Episode 47 of Informed Investing

Ep. 46: The Income Investor's Toolkit: Covered Calls, Dividend Compounders & Yield Traps 23.04.2026

Episode 46 of Informed Investing

Ep. 45: Sustainable Income: Finding Real Yield Without the Traps 22.04.2026

Episode 45 of Informed Investing

Ep. 44: Income ETF Stress Tests, Healthcare REIT IPO & Dividend King Bargains 21.04.2026

Episode 44 covers income ETF stress tests (TDVI, OVL, IQQQ as top performers), the SCHD vs FDVV debate, Pentair as an undervalued Dividend King play on water infrastructure, the PepsiCo bull case with Poppi and Celsius, NHP healthcare REIT IPO analysis, 3M earnings preview, and real-world dividend portfolio income tracking.

Ep. 43: Dividend Kings, True Passive Income ETFs & International Opportunities 20.04.2026

10 sources covering 12 truly passive dividend ETFs, Dividend Kings, QDVO vs QQQI tactical covered calls, passive income investing key concepts, STAG Industrial monthly income REIT, VOO vs IWM comparison, Fidelity FENI international ETF, and high-yield stock picks

Ep. 42: Monthly Dividend Safety, JNJ Slow Growth, Goldman Sachs Earnings, and Covered Call ETF Rankings 17.04.2026

10 sources covering safest monthly dividend stocks, JNJ/PG slow dividend growth, RISR interest rate hedge ETF, dividend pyramid portfolios, Goldman Sachs earnings analysis, 10 portfolio mistakes, TSLX BDC buy-the-dip, XLKI tech income ETF, and best covered call ETFs of 2026

Ep. 41: International ETFs, Dogs of the Dow, SCHD vs Options, and Retiring on $500K 16.04.2026

10 sources covering international dividend ETFs, P&G vs Colgate, UnitedHealth Dogs of the Dow, recent dividend raises, SCHD vs options income, QQQI compounding, weekly dividend ETFs, and $500K retirement framework

Ep. 40: Energy Dividend Safety, 52-Week Low Bargains & YieldMax Reality Check 15.04.2026

Energy dividend safety (Chevron vs ConocoPhillips), 5 dividend stocks at 52-week lows (Microsoft, Main Street Capital, Nike, Novo Nordisk, Mastercard), YieldMax SOXY case study with margin strategy, $200K allocation advice from Reddit, FDVV+SCHD pairing, JP Morgan ROCQ ETF spotlight, dividend growth ETF portfolio sections

Ep. 39: Income ETF Stress Tests, Undervalued Dividend Picks & Buy-and-Hold Forever Portfolios 14.04.2026

Income ETF stress testing (QQQY/YBTC traps vs DIVP/MLPD quality), undervalued stocks (Mastercard, Williams Companies, AbbVie), EPRT net lease REIT, Nike at 5-year lows, buy-and-hold-forever ETFs from $1.8M portfolio, Treasury ladder alternatives, covered call ETF expansion, Franklin Resources dividend

Ep. 38: Covered Call ETF Truth, DDDD Doubles SCHD & Undervalued Dividend Picks 13.04.2026

Covered call ETF debate (JEPI/SPYI/XYLD/NAV erosion), YieldMax DDDD doubling SCHD yield, doubling dividend income with covered calls on TROW/PRU, undervalued picks (ARES down 50%, Colgate-Palmolive), 10 bad dividend habits, starter portfolio basics, VTI during selloffs, dividend aristocrat passive income

Ep. 37: Comeback Stocks, Beginner Portfolios & the Dividend Risk Spectrum 10.04.2026

We break down comeback stories from Target and Moderna, build a $50K beginner income portfolio with STK/SPYI/IDVO, honestly assess YieldMax high-yield ETFs, explore disruptor options strategies on SoFi and Reddit, and evaluate whether CVS is a value play or a trap.

Ep. 36: ETF Rotation, Yield Trap Warnings & Kimberly-Clark Merger Deep Dive 09.04.2026

Today's episode covers the great rotation as wealthy investors shift from tech into gold, international equities, and small-cap funds. We break down the JEPI vs SCHD debate, expose yield traps like QYLD and PDI, and dig into the Kimberly-Clark/Kenview merger opportunity. Plus: REIT picks STAG Industrial and NNN, Brompton's Cash Flow Kings strategy, and why DIVO's selective covered call approach be...

Ep. 35: De-Risking Playbook, BDC Yield Pressure & Auto-Callable Income Innovation 08.04.2026

In this episode, we break down 9 institutional analyses covering: • **De-Risking Playbook** — 5 scenarios: AI bubble fears, job insecurity, retirement danger zone, risk tolerance reassessment, recession fears. Buffered ETFs (PMAY, BALT), defensive sectors, quality bonds • **BIZD Yield Under Pressure** — 9.3% yield but rate cuts compressing BDC floating-rate loan income. ARCC yield dropped 11.1% to...

Ep. 34: REIT Dividend Dynamos, SPHD's Breakout Q1 & the Salary Replacement Math 07.04.2026

In this episode, we dig into a massive stack of April 2026 market research covering the paradigm shift in passive investing. Topics covered: - REIT Dividend Quality: The ALPS Active REIT ETF Elite Eight (CUBE, GLPI, VICI, SPG, Realty Income) and why only 28 of 72 REITs maintained dividends over 15+ years - SPHD's Breakout Quarter: 6.5% surge in Q1, outpacing the S&P 500 by its largest margin s...

Ep. 33: SCHD's Breakout Year, Crisis-Proof Dividends & the Yield Chasing Reality Check 06.04.2026

SCHD up 11-13% YTD dominating indexes, dividend growth stocks at discount (Nike/Starbucks/P&G/General Mills), 7 crisis-proof dividend stocks since 2008, high-income ETFs without NAV decay (DIVO/GPIX/SPYI), OMAH Berkshire income ETF total return reality check, BondBlocks fixed income alternatives (PCMM/XEMD), Dividend Kings for retirement portfolios

Ep. 32: Income ETF Surge, $100/Day Dividend Machines & Holding the Line 03.04.2026

Q1 income ETF flows surge 50%, NEOS covered call strategies for $7200/month income, $100/day dividend machine blueprint (SPYI+EPR+DIVO), InfraCap small cap and MLP income funds, VYMI international dividend exposure, Chevron vs ExxonMobil energy debate, Kimberly-Clark Dividend Aristocrat analysis, 5 facts for holding through market panic

Ep 31: Goldman Energy Picks, Realty Income Debate, 12% CEFs & Sanofi Bargain 02.04.2026

Goldman Sachs 5 energy dividend picks, Realty Income REIT analysis, 12% yielding CEFs with perfect streaks, Sanofi pharma deep dive, P&G Dividend King under pressure, 1973 bear market retirement lessons, VOO compounding math

Ep 30: CPG Food Crash, YieldMax Reckoning, VICI Deep Dive & Growth vs Dividends 01.04.2026

CPG food stocks tanking with 7% yields, YieldMax high-yield ETF retrospective, $179K portfolio update, $240K/year income goal strategy, VICI Properties REIT analysis, SCHG vs SCHD growth vs dividends debate

Ep 29: SCHD Shakeup, Weekly Income ETFs, Nike's 71% Discount & Bear Market Income Playbook 31.03.2026

8 sources covering monthly dividend stocks (MAIN/EPR/SMA), Nike turnaround play at 71% off highs, WEEK T-Bill ETF beating money markets, weekly dividend ETF performance rankings, covered call ETF income mechanics, SCHD 2026 reconstitution (31% turnover, energy reduction, UNH/PG additions), 5 undervalued consumer staples using dividend yield theory, and four-pillar bear market retirement income str...

Ep 28: Covered Call ETF Showdown, Bargain Dividend Kings & Bitcoin Income Plays 30.03.2026

10 sources covering covered call ETFs across 5 categories, ultra-high-yield stocks (ARCC/ET/STWD), General Mills at 15-year low, Bitcoin dividends (STRC), gold/silver ETFs during Iran War, 7 under-the-radar ETFs, dividend portfolio tracking tools, bargain dividend growth stocks (MSFT/CTAS/V), deeply discounted picks (MARZ/VICI/ADP), and VOOG growth ETF analysis

Ep 27: Income ETF Stress Test, Defensive Dividends & High-Yield Hidden Gems 27.03.2026

10 sources covering income ETF sustainability (DCR framework), defensive dividend stocks (HD, PEP, VDC), Western Midstream Partners insider buying, covered call ETF strategies (ICAP), gaming REITs (GLPI, VICI), VIG 223% returns, RTX dividend analysis, private credit risk

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