Curzio Research

Wall Street Unplugged - What's Really Moving These Markets

30-year financial insider, Frank Curzio, breaks down the mainstream media headlines, exposes the TRUTH about what’s really moving the markets, and brings you exclusive intel and actionable investment ideas directly from Wall Street pros.

Author

Curzio Research

Category

Business

Podcast website

www.curzioresearch.com

Latest episode

Jul 9, 2026

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Episodes

Ep. 50 :: Why Stocks Are Pricing-In Strong Earnings 27.10.2010

Braden Copeland, Co-Editor of the Stansberry Investment Advisory, talks about China's huge growth potential. Marc Lichtenfeld, Editor of the Activist Trader, tells us why following Carl Icahn and Daniel Loeb could make you a lot of money. Also, Frank breaks down earnings and answers your questions.

Ep. 49: Why You Should Buy Commodities Today 20.10.2010

Byron King, editor of Outstanding Investments newsletter, sees gold prices over $2,000 an ounce. Resource Report editor Matt Badiali is bullish on natural gas and jr. gold miners. Frank gives his analysis on GS, C, FLR, AAPL, GOOG after earnings.

Ep. 48 :: Are Stocks A Buy No Matter What? 14.10.2010

Rich Suttmeier, chief market strategist at Valuengine.com, talks about QE2 and why bad news is not necessarily good news for stocks. Michael Comeau of Minyanville tells us why Apple is the only tech company you should own. Frank also highlights the best presentations from the Value Investing Congress.  

Ep. 47 :: Why QE2 May Not Be Great For Stocks 06.10.2010

Chris Mayer, editor of the Capital and Crisis newsletter, talks value investing, China and QE2. Stephanie Link, Director of Research, for TheStreet.com tells us what conference calls you should be listening to during earnings season.

Ep. 46 :: It's A Girl! 01.10.2010

Frank talks about being a dad again. Also, he tells you to ignore the talking heads on CNBC. Buying stocks at these levels - ahead of earnings season is a death wish. Finally - Frank provides pictures and videos from his business trip to China.

Ep. 45 :: Frank Curzio Unplugged 22.09.2010

Frank breaks down every sector including mining, technology, and housing - telling you his favorite short and long-term stock plays. He also answers readers questions and does a special education segment on Research in Motion and ExxonMobil. Finally, Frank takes 15 minutes to interview value investor veteran Dan Ferris, editor of the Extreme Value newsletter for S&A. 

Ep. 44 :: Conservative Option Strategies 15.09.2010

Lee Lowell, option specialist and editor of The Instant Money Trader, talks about selling puts on America's favorite large-cap companies. David Eifrig, ex-Goldman trader and editor of S&A's Retirement Trader, educates us on LEAPS and covered calls.

Ep. 43 :: Trader's Corner 08.09.2010

Jeff Clark from Stansberry & Associates and Andrew Horowitz from The Disciplined Investor talk about how to trade the latest market volatility.

Ep. 42 - How To Invest in Small-Cap Stocks 03.09.2010

White Cap Group's Lou Basenese gives a play by play on how to pick small-cap winners. S&A's Braden Copeland talks China and oil and gas stocks with Frank.

Ep 41 :: Live From China! 26.08.2010

Frank broadcasts from Shanghai as he visits some of the biggest cities in China. Is the growth for real? Will Chinese commercial real estate collapse? Plus, Stephanie Link, Director of Research at TheStreet.com, talks about recent earnings and several catalysts that could push stocks higher.

Ep 40. Talking Stocks with Two Investment Legends 19.08.2010

Alex Green, Investment Director at Oxford Club, talks about his "Gone Fishin" strategy, which has outperformed the markets for 10 straight years. John Doody, Editor of the Gold Stock Analyst newsletter, highlights the top mistakes investors make when buying gold.

Ep. 39 :: Talking Commodities with Two of the Best 12.08.2010

Matt Badiali, editor of the S&A Resource Report, talks about the huge potential for uranium. Jeff Clark, editor of Casey's Gold and Resource Report, explains why these gold and silver stocks belong in your portfolio.

Ep. 38 :: Time To Take Profits 04.08.2010

Frank breaks down earnings and tells us if this rally is sustainable. Rich Suttmeier, chief market strategist at Valuengine.com, talks about the future of our banking system and predicts Dow 8,500 by next year.  

Ep 37 :: What Happened to the Double-Dip? 28.07.2010

The S&P 500 is up 8% in July. Charles Payne, founder of Wall Street Strategies, predicts the next 10% move in the major index. Also, Dan Farris - editor of S&A's Extreme Value newsletter - tells us why "buy and hold' is back.

Ep. 36 :: How to Make Money in a Volatile Market 21.07.2010

Dr David Eifrig, editor of the Retirement Trader newsletter, shares several of his conservative trading strategies. Michael Comeau, tech writer at Minyanville, tells us why you should be buying Apple right now.

Ep. 35 :: It's Earnings Season: Here's Some Advice From The Pros 15.07.2010

  Stephanie Link, Director of Research at TheStreet.com, says which conference calls investors must listen to during earnings season. Then Braden Copeland, research analyst at Stansberry & Associates, gives us the scoop on the sectors seeing the most insider buying heading into earnings.

Ep. 34 :: The Search For Income 07.07.2010

Mike Williams, editor of S&A's True Income newsletter and 30-year bond veteran talks individual bonds. Tom Dyson, editor of the  12% letter for S&A gives us his top high yield plays.

Ep 33 :: Respecting The Bears 30.06.2010

Dan Fitzpatrick, technical analyst and founder of StockMarketMentor.com tells us why there's more pain ahead. Rich Suttmeier, chief market strategist at ValuEngine.com predicts another 50% pullback in home prices.

Ep. 32 :: Why China Holds the Key to Our Future 23.06.2010

​Andrew Horowitz from The Disciplined Investor Podcast breaks down China and the latest economic data in the U.S. Also, he gives us his favorite stocks to buy right now. Then, Dr. David Eifrig, editor of the S&A Retirement Millionaire newsletter, talks 401k's, deflation, and his five best income plays.

Ep. 31 :: A Mix of Oil and Gold 16.06.2010

Matt Badiali, editor of the S&A Resource Report , talks BP and natural gas. John Doody, editor of the Gold Stock Analyst newsletter, breaks down current gold trends and gives us his top picks in the industry.

Ep. 30 :: The Game Plan for a Brutal Market 09.06.2010

Dan Ferris, editor of the S&A's Extreme Value, breaks down the fundamentals of the current market. Michael Comeau of Minyanville talks about Apple's new iPhone and Sprint's new HTC rollout.

Ep. 29 :: Trader Special - Guests Jeff Clark and Stephanie Link 02.06.2010

Stephanie Link, Director of Research at TheStreet.com, talks market fundamentals, sectors and gives her best picks. Jeff Clark, editor of S&A's Advanced Income and The Short Report newsletters, talks technicals. He also tells us where gold and the Euro are headed.

EP 28: 10% Market Pull Back...Now What? 26.05.2010

Braden Copeland, research analyst at Stansberry & Associates, gives us his top two stocks. Marc Lichtenfeld, host of the small-cap "Mic'd Up" podcast, talks biotech ahead of the ASCO conference.

Ep. 27 :: Learning How To Play Defense 19.05.2010

Simon Black, founder of the Sovereign Man blog discusses the Euro, China and overseas markets. Richard Suttmeier, chief market strategist at Niagara International Capital, talks about the positives and negatives of financial regulation.

Ep. 26 :: The EU's Quick Fix For PIIGS 12.05.2010

The Disciplined Investor's Andrew Horowitz talks about the EU's bailout, Goldman's perfect track record, and what stocks look attractive on the pullback. Patrick Schultz, Chairman of Karma Blackbox (a high-frequency trading firm), discusses what went wrong when the Dow collapsed 1,000 points.

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