Michael Kantrowitz

What's Next For Markets

Business EN ↓ 73 episodes

When it comes to equity markets, there is a seller for every buyer. But how do you know which side of the trade to be on? Macro trends explain 70% of stock movements so understanding the macro backdrop is essential. Join Michael Kantrowitz, No. 1 ranked* Wall Street investment strategist, and the rest of the portfolio strategy & quantitative research team at Piper Sandler as they discuss current macro trends and what’s next for markets. Michael, Stephen, Emily, Joe and Dan have been working together for over 15 years. They pride themselves on their knowledge of financial market history while o...

Author

Michael Kantrowitz

Category

Business

Podcast website

whatsnextformarkets.com

Latest episode

Jul 5, 2026

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Episodes

Tariffs, Taxes, and Trade … Decoding D.C. With Don Schneider 07.06.2025

In this episode, Don Schneider Deputy Head of U.S. Policy at Piper Sandler helps us unravel the ongoing political volatility impacting the markets. We discuss the significant topic of the budget reconciliation bill, detailing its current status, timeline for passage, and the key components it entails including tax cuts, spending cuts, and the consequential impacts on the fiscal outlook and growth...

Talking Shop with Darius Dale: An Inside Look At Macro Research 01.06.2025

In this episode, Darius Dale, founder of 42 Macro, joins hosts Michael and Steven to discuss the transformative journey and mission behind 42 Macro. Darius shares his background in Wall Street investment research and highlights the company's unique approach to providing equal access to high-quality investment insights for both institutional and retail investors. He delves into the challenges...

Unpacking The Current State Of Market Multiples 26.05.2025

In this episode, we discuss the recent movements in the market amid ever-changing political narratives. We delve into the factors influencing valuations, including interest rates, inflation, and macroeconomic data. The conversation also covers the impact of recent policy changes—such as Trump’s fluctuating tariffs on the EU—and how they contribute to market volatility. We examine the current state...

The Market Has Recovered … Now What? 16.05.2025

In this episode, we delve into recent market movements following tariff announcements and pauses. The discussion covers the sharp decline and subsequent recovery of the S&P 500, highlighting sector-specific performance and the varying recovery trajectories of different market segments. The episode also covers broader economic concerns, including credit card delinquency rates, inflation, and co...

Tariff Supply Chain Impact With FreightWaves CEO Craig Fuller 11.05.2025

In this episode, we talk with Craig Fuller, CEO of FreightWaves, about the significant shifts and challenges in global supply chains, with a particular focus on the impact of tariffs and geopolitical events. Craig outlines the evolution of supply chains, the effects of the U.S.-China trade war, and the broader ramifications of tariffs on global trade and logistics. He discusses potential shortages...

April Market Recap: Going Nowhere Fast 06.05.2025

In this episode, we discuss the eventful month of April in the markets, highlighting the resurgence of the S&P 500 and the significant influence of policy shifts on market dynamics. The episode delves into the impact of tariff-related rhetoric, the effect of proposed tax cuts, and the ongoing balance between sentiment and fundamental data. We cover the importance of maintaining a balanced inve...

Geopolitical Whiplash: Josh Rogin On The New Global Order 27.04.2025

In this episode of What's Next for Markets, Michael Kantrowitz, Chief Investment Strategist at Piper Sandler, and Josh Rogin, Lead Global Security Analyst at Washington Post Intelligence, delve into the ongoing market volatility driven by shifting policies and geopolitical dynamics. They discuss the breakdown of traditional silos between Wall Street, Washington, and Silicon Valley, the impact...

What’s Holding Back Small Caps? 17.04.2025

In this episode, Stephen and Emily discuss the current state of small cap equity investing. Small cap equities have underperformed their larger cap equity counterparts for nearly five years. We explore the factors contributing to this trend, including higher interest rates, slowing economic growth, and recent tariff news. Despite current challenges, the conversation highlights potential positive c...

The Wisdom of Staying Disciplined: Fidelity’s Jurrien Timmer on Market Cycles 13.04.2025

In this episode, we’re joined by Jurrien Timmer , Director of Global Macro at Fidelity Investments , for a wide-ranging conversation on market cycles, long-term investing, and the shifting dynamics in the macro landscape. Jurrien shares how his background in technical analysis has evolved into a storytelling approach to macro strategy. We dive into: The interplay between technicals and macro data...

Markets Are Tariffied; What Could Go Right?!? 06.04.2025

In this episode of 'What's Next for Markets', we discuss the recent tumultuous week for markets in the wake tariff announcements. We will cover our initial reaction to the moves in the market along with the emerging macro and earnings risks. The episode touches on market sentiment, valuation metrics, and historical parallels. Importantly, in today’s episode we look beyond the obviou...

Dissecting the Consumer With Piper Sandler’s Peter Keith 30.03.2025

How resilient is the U.S. consumer? In today’s episode of What’s Next For Markets we speak with a 20-year veteran on Wall Street, senior research analyst, Peter Keith who covers consumer stocks in the hardline and breadlines industries at Piper Sandler. In this insightful conversation we explore consumer behavior through the lens of Peter’s proprietary mattress sales index and its implications for...

Macro Collides With Micro: Will Earnings Bifurcation Continue? 23.03.2025

In this episode, we discuss the significant bifurcation seen in economic and company earnings data over the past few years. Why have some companies excel in this environment, while others struggle? Join us, as we delve into the factors driving this divergence, from the zero interest rate policy post-GFC to the present-day tariff uncertainty. The episode covers the impact of housing on the economy,...

Managing Risk With Danny Kirsch, Piper Sandler’s Head Of Options Strategy And Trading 15.03.2025

In this episode of 'What's Next for Markets,' we are joined by Danny Kirsch, Head of Piper Sandler's Options Strategy & Trading for a discussion on the recent correction in the stock market and policy uncertainty. The team delves into specific market dynamics including high retail sentiment, momentum stocks, and the role of options trades in current market conditions. They...

When Will The Market Bottom? 09.03.2025

Join us as we delve into the recent surge in market uncertainty. In today's episode, we share our insights on a crucial question: When will the market hit bottom? Please see our episode notes on our website whatsnextformarkets.com for charts discussed in today’s show.

A.I. & NVDA With Piper Sandler’s Semis Analyst Harsh Kumar 02.03.2025

Join us as we discuss A.I. & NVDA with Piper Sandler’s Semis Analyst Harsh Kumar. Harsh has covered the semiconductor industry since the mid-1990s. Please see our episode notes on our website whatsnextformarkets.com for charts discussed in today’s show.

Why Do Markets Fall? 23.02.2025

Join us as we discuss why markets fall. In today's show, we look at all the 10% or more S&P 500 market corrections over the last 60 years. Please see our episode notes on our website whatsnextformarkets.com for charts discussed in today’s show.

H.O.P.E. Update with Adam Taggart from Thoughtful Money 15.02.2025

Join us as we discus our H.O.P.E. framework. This episode is  an excerpt from an interview with Adam Taggart from Thoughtful Money. The full interview is available on the Thoughtful Money Youtube channel.

Are PMIs Broken Or Misunderstood? 09.02.2025

Join us as we discuss the importance of monitoring Purchasing Managers' Index (PMI) data in 2025.

Decoding Trump’s Potential Impact On Markets With D.C. Expert Don Schneider 31.01.2025

Join us as we discuss how President Trump’s policy agenda with shape the economy and financial markets. In this weeks episode, we will be talking with special guest Don Schneider Deputy Head of U.S. Policy Research at Piper Sandler. Don brings a wealth of policy expertise to the conversation. He previously served as Chief Economist for the House Ways and Means Committee under Chairmen Kevin Brady...

Tech Bubble Vs Tech Earnings 26.01.2025

Join us as we discuss the Tech sector today vs 2000.

Are S&P 500 Price Targets Losing Their Relevance? 19.01.2025

Join us as we discuss strategist price targets. Article Reference, Jonathan Levin “ Market Strategists Thankfully Abandon S&P 500 Target “ Bloomberg. July 10, 2024

Highlights Of Our 2025 Outlook 12.01.2025

Join the Portfolio Strategy team from Piper Sandler to discuss the outlook for markets and the economy in 2025.

What's Next For Markets Trailer 02.01.2025

When it comes to equity markets, there is a seller for every buyer. But how do you know which side of the trade to be on? Macro trends explain 70% of stock movements so understanding the macro backdrop is essential. Join Michael Kantrowitz, No. 1 ranked Wall Street investment strategist, and the rest of the portfolio strategy & quantitative research team at Piper Sandler as they discuss curren...

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