Episodios

  • EP74: Middle East peace?
    Jun 27 2025

    This week on Bulls vs Bears, we unpack the market implications of a fragile ceasefire between Israel and Iran, as investors respond to easing geopolitical tensions.

    Kai Chen returns on The Call with insights into ASX movers, including Virgin Australia's IPO surge and Xero’s $3.9 billion Melio acquisition. We also cover:

    • Tesla’s slip despite robotaxi headlines

    • QuantumScape’s 78% rally on a major battery breakthrough

    • Xiaomi’s EV launch challenging Tesla in China

    • Gold and oil under pressure, while Bitcoin rebounds 9%

    • The Fed’s next move as US retail sales disappoint

    • Trade of the Week: Findi (ASX: FND), as India IPO catalysts come into focus

    Stay ahead of the trends shaping global markets with this week’s episode.

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    30 m
  • EP73: will Trump T.A.C.O. on Iran?
    Jun 20 2025

    In this episode of Bulls vs Bears, JT & Mark discuss theusual market insights, stock analysis, and investment strategies. They delveinto the dynamics of the mining sector, the impact of geopolitical events onoil prices, and the current state of tech stocks, particularly Tesla.

    The conversation also touches on consumer behaviour,economic indicators, and the commodities market, including gold and uranium.

    The hosts share their predictions for the market and discussinnovative investment strategies, emphasizing the importance of management inmining investments.

    takeaways

    The shift towards online shoppingis now mainstream.

    Market volatility is a constant inmining investments.

    Geopolitical tensionssignificantly affect oil prices.

    Equities are surprisinglyresilient despite economic pressures.

    Consumer behaviour is shiftingtowards caution in spending.

    Gold and commodities are facingunique market challenges.

    Investment strategies must adaptto changing market conditions.

    Management quality is crucial inmining investments.

    Tech stocks are reacting to marketsentiment and news.

    The importance of understandingseasonal market trends.

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    43 m
  • Bulls vs Bears Global Alpha Edition: EP1
    Jun 13 2025

    Summary

    The conversation delves into the impact of recentgeopolitical events on the markets, particularly focusing on oil prices, nuclear power, and the defense sector. The speakers discuss the resilience of the US economy amidst these challenges, the performance of chip manufacturers,and the uncertainties in the healthcare sector due to political changes. They also provide insights into investment strategies in a volatile market environment.

    Takeaways

    Recent geopolitical events are significantly affectingmarket dynamics.

    Oil prices have surged due to tensions in the Middle East.

    Nuclear power is becoming a focal point for energydiscussions.

    The defense sector is expected to benefit from increasedmilitary spending.

    Chip manufacturers are showing resilience and growthpotential.

    Economic indicators suggest the US may avoid a recession.

    Inflation concerns are rising with potential oil priceincreases.

    Healthcare sector faces uncertainties due to politicalchanges.

    Investors should be cautious and consider trimmingpositions.

    There are still opportunities in the market despitevolatility.

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    20 m
  • EP72: Stocks near record highs ...as the world falls apart
    Jun 13 2025

    In this episode, Mark and Jonathan discuss the current stateof the stock market amidst global turmoil, including geopolitical tensions andeconomic indicators. They explore investment strategies, the disconnect betweenWall Street and the real economy, and insights into private equity andtechnology trends. The conversation also touches on consumer behavior inretail, the impact of geopolitical events on commodities, and the future ofnuclear energy infrastructure. The hosts provide market predictions and aneconomic outlook, emphasizing the importance of staying informed in a rapidlychanging environment.

    Takeaways

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      49 m
    • Episode 71: The worlds richest man & the worlds most powerful man have a social media “spat”
      Jun 9 2025

      Summary

      In this episode, the Mark and Jonathan discuss the currentstate of the market, focusing on job trends, stock recommendations, and theperformance of the ASX. They analyze the impact of geopolitical factors onmarket reactions and delve into commodities and investment strategies. Theconversation also highlights the importance of structured investments andclient preferences, concluding with predictions for future market movements.

      Takeaways

      The job market shows signs of weakness with disappointingpayroll numbers.

      Uranium stocks are gaining traction in the market.

      The ASX is struggling to find strong buy recommendations.

      Tesla's stock has seen significant drops due to externalfactors.

      Silver and platinum are experiencing notable priceincreases.

      Structured investments are becoming increasingly popularamong clients.

      Geopolitical tensions are influencing market performance.

      Patience is key in navigating current market conditions.

      The market may have reached its peak, requiring newcatalysts for growth.

      Investors should be cautious and consider their strategiesmoving forward.


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      38 m
    • EP70: Nvidia does all the heavy lifting… again
      May 30 2025

      In this episode, Jonathan and Mark discuss various markettrends, including Nvidia's strong earnings, the approval of Woodside's gasproject, and the implications of a potential bear market rally. They analyzethe performance of the ASX, US earnings, and bond market dynamics, while also touchingon geopolitical factors affecting commodities like uranium, gold, and silver.The conversation wraps up with predictions for the upcoming week and insightsinto investment strategies in the crypto space.


      Takeaways

      Nvidia's earnings were a significant market driver.

      Woodside's gas project approval marks a major decision bythe government.

      The market is experiencing a bear market rally, but it couldbreak through record highs.

      HealthScope's recent receivership raises questions aboutprivate hospital viability.

      US bond market shows signs of stability despite previousconcerns.

      Asian markets tend to panic, leading to buying opportunitiesin the US.

      Uranium prices are rising due to policy changes.

      Bitcoin is stabilizing above $100, indicating bullishpotential.

      Gold and silver miners are outperforming their underlyingcommodities.

      Geopolitical tensions are impacting commodity supply chains.

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      39 m
    • Episode 68: The running of the tech bulls, could it be running out of energy?
      May 16 2025

      In this episode of Bulls vs Bears, Mark, Jonathan and Kai discussvarious aspects of the stock market, including recent trading successes,company analyses, and the impact of government policies on corporate taxation.They delve into market trends, economic indicators, and sector performances,particularly in healthcare and commodities. The conversation also touches oncryptocurrency insights and predictions for interest rates, culminating in areview of trade recommendations and market sentiment.

      Takeaways

      The importance of timing in trading strategies.

      Government policies significantly impact corporate taxationand market behavior.

      Market trends can be influenced by popular sentiment andmedia narratives.

      Investors should be cautious of companies with highvaluations and low profitability.

      The healthcare sector faces unique challenges that affectstock performance.

      Interest rates play a crucial role in economic predictionsand market movements.

      Commodities are showing signs of recovery despitefluctuations in prices.

      Cryptocurrency remains a volatile but intriguing investmentopportunity.

      Understanding sector dynamics is essential for makinginformed investment decisions.

      Market sentiment can shift rapidly, affecting stock pricesand trading strategies.

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      42 m
    • Bulls vs Bears EP67: Powell describes Stagflation, without mentioning Stagflation
      May 9 2025

      Summary

      In this episode, the JT, Kai & Mark discuss variousaspects of the financial markets, including recent trade deals, stockperformance, and the dynamics of the entertainment industry. They analyze theimplications of economic indicators, the performance of commodities andBitcoin, and the broader economic landscape, including debt and inflation. Theconversation culminates in predictions for future market trends and sentiment.

      Takeaways

      Trump's trade deal with Britain lacks substance.

      The market is looking for any positivity to rally.

      REITs have been performing well recently.

      Disney's recent performance reflects changing audienceexpectations.

      The IPO process is evolving with more mature companiesentering the market.

      Gold and Bitcoin are seen as safer trades amid inflationconcerns.

      The US dollar is showing signs of strength despite mixedsignals in the market.

      Market sentiment is cautious, with mixed indicators of greedand fear.

      Investors are advised to be careful with gold miners'hedging strategies.

      The hosts predict a bullish trend for the upcoming week.

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      38 m