Advisors Asset Management, Inc.
Sawgrass Market Musings
A podcast series from AAM's strategic partner Sawgrass Asset Management, LLC.
Author
Advisors Asset Management, Inc.
Category
Podcast website
Latest episode
Jul 9, 2026
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Episodes
A Road Trip to Kick Off the Summer 09.07.2026 3:23
The S&P 500 cruised to its best quarter in six years, overcoming geopolitical conflict, AI growing pains, and a surprisingly hawkish new Fed Chair. Portfolio Manager Anthony Brooks takes investors on a road trip through the quarter, explaining why some AI stocks hit the brakes, why memory stocks stayed in the fast lane, and why keeping an eye on valuation may help investors avoid future traffi...
S&P 500 Rally Driven by Tech and AI 02.06.2026 4:17
Liridon Gila breaks down May's strong S&P 500 rally, driven by dominant Tech and AI-led gains despite narrow market breadth. He highlights key drivers - including earnings strength, geopolitics, and macro resilience - and outlines what to watch next, from Fed policy shifts to AI capex trends.
Markets Rally Amid Continued Geopolitical Tensions 14.05.2026 4:01
Stocks in April staged an impressive rally as investors poured back in following a sell-off in March. The rally was broad and the largest mega caps, while showing significant gains, continued to diverge from each other. Along with positive earnings sentiment, investors are trying to grapple with the impact of continuing geopolitical developments. Marc Davis, CFA, describes the events of the month...
A Quarter of Twists and Turns 10.04.2026 3:33
Geopolitical shocks, AI skepticism, and shifting rate expectations pulled the S&P 500 lower in Q1, even as market leadership broadened beneath the surface. Portfolio Manager, Anthony Brooks, walks through a quarter that felt like an endless bedtime story - full of twists, false endings, and an ever-growing cast of macro surprises reshaping the market narrative.
Defensives Rallied as AI Disruption Concerns Persist 05.03.2026 4:31
Liridon Gila, CFA, Portfolio Manager, discusses the S&P 500's decline of -0.8% in February as the market broadening and sector rotation continued, and defensive stocks generally rallied on perceived "safety" from the AI disruption risks. He highlighted three near-term potential catalysts including 1) ongoing concerns over AI-driven disruption, 2) an escalation of geopolitical te...
Markets Still Climbing, but with Volatility Ahead? 02.03.2026 4:08
Marc Davis, CFA, Co-Portfolio Manager, discusses the strong start to 2026 and continued market broadening as the AI theme draws greater scrutiny from investors. He sees a challenging path forward with stocks vulnerable to selling pressure on the heels of a tremendous 3-year run. Looking ahead, Sawgrass expects equity returns to be more muted with increased market volatility, however greater variat...
Renewed Focus on Fundamentals 22.01.2026 4:08
Anthony Brooks, Portfolio Manager, discusses the market's resilience in 2025, with stock prices supported by optimism around potential rate cuts and steady earnings, despite uncertainties around circular AI deals, geopolitical tensions, and political shifts. By year-end, more than 80% of S&P 500 companies beat earnings expectations, as real earnings growth rather than expanding valuations...
A Pause in the Magnificent Tech Trade 05.12.2025 4:09
Liridon GIla, CFA, Portfolio Manager, discusses November's market broadening as defensive and value-oriented sectors outperformed the market's YTD leaders. Investor sentiment was tested by the government shutdown and mixed economic signals, however a strong start to the holiday shopping season solidified confidence that household spending power was intact. Looking toward 2026, Sawgrass e...
Still High on AI 13.11.2025 3:41
Marc Davis, CFA, Co-Portfolio Manager, discusses how investors' fascination with Artificial Intelligence (AI) combined with continued hopes for further Federal Reserve easing has pushed equity markets to new all-time highs. However, valuations in many of these mega-cap companies appear stretched and with markets pricing in lots of good news, there is little room for error in both earnings and...
AI Euphoria 08.10.2025 3:43
Anthony Brooks, Portfolio Manager, discusses the strong third quarter spurred by optimism in Artificial Intelligence (AI) developments and a dovish Federal Reserve. The largest technology companies are set to increase spending and Wall Street is rushing to jump on board the "AI goldrush." Historically, markets tend to do well in the fourth quarter, however stubborn inflation and mixed mo...
Will Summer Momentum Last in Q4? 11.09.2025 4:01
Marc Davis, CFA, Co-Portfolio Manager, discusses the continued ascent of equity markets and stocks' resiliency despite signs of a weaking job market. This slowdown has shifted the interest rate outlook toward multiple potential cuts. However, although short-term rates are expected to decline, will longer-term rates follow suit?
A Peaceful Ascent 14.08.2025 3:31
Anthony Brooks, Portfolio Manager, shares insights on what's been driving positive investor sentiment as the S&P 500 hit new highs in July. And he discusses how investors' response to corporate earnings, economic progress, and seasonality may shape whether this moment can continue.
Strong Start to Summer 09.07.2025 3:11
Liridon Gila, CFA, Portfolio Manager, discusses US equities' V-shaped recovery from April's lows - driven largely by AI momentum, trade relief, and resilient earnings. Looking to the second half of the year, Sawgrass expects market breadth to continue improving, in response to the Federal Reserve likely keeping rates higher for longer than the market expects due to tariff and policy unce...
Is the May Rally Here to Stay? 12.06.2025 3:04
Marc Davis, CFA, Co-Portfolio Manager, discusses the equity market rebound in May, as investors shrugged off trade/tariff tensions, higher rates, and a potentially difficult growth outlook. Given significant macro uncertainty, a market pause to consolidate these sharp gains wouldn't be surprising.
Tariff Turbulence 08.05.2025 3:24
Liridon Gila, CFA, Portfolio Manager, discusses the causes of April's significant market volatility including heightened uncertainty, tariff turbulence, policy shifts and a tech-led rebound.
Market Madness 04.04.2025 3:11
Anthony Brooks, Portfolio Manager, discusses recent equity market volatility given the anticipated wide-reaching effects of President Trump's "tariff tantrum," and details several positive factors that may be supportive of equities over the longer-term.
The Longest February Ever 10.03.2025 3:21
Anthony Brooks, Portfolio Manager, discusses February's difficult equity markets given today's tariff talk, economic conditions, and political drama. Investors focused on the plight of the consumer and drop in confidence, along with elevated earnings expectations that may lead to an increase in volatility during any move higher.
A New U.S. Administration, Tariffs and the Emergence of a Lower-Cost AI 11.02.2025 4:15
Liridon Gila, CFA, Portfolio Manager, discusses how tariffs and a new lower-cost AI technology could lead to increased market volatility. He also details how a pro-growth Trump administration, the Fed’s easing cycle and current extreme relative valuations could also lead to a continued market broadening.
Drivers of Potential Market Volatility in 2025 24.01.2025 3:31
Anthony Brooks, Portfolio Manager, breaks down the 4Q24 markets and discusses why macro uncertainty and a rotation away from the Magnificent 7 could heighten volatility in 2025.
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