Episodios

  • Global Shifts & Market Signals, A Midyear 2025 Check-In - 5/22/25
    May 22 2025

    In this episode of Paramount Wealth Perspectives, host Chris Coyle sits down with Chief Investment Officer Scott Tremlett to unpack the latest movements in global economic rankings as of May 14, 2025. They explore why India now leads the world in growth momentum, how rising tariffs are fueling inflation and complicating Fed policy, and why developed international markets may offer better value than U.S. equities. Scott also shares his latest portfolio positioning insights, emphasizing selectivity, private credit, and infrastructure as key themes amid an increasingly uncertain macro backdrop. Tune in for sharp insights, strategic takeaways, and what investors should focus on for the rest of 2025.

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    11 m
  • Tariffs, Inflation, and Market Resilience - 4/25/25
    Apr 25 2025

    In this episode of Paramount Wealth Perspectives, host Chris Coyle and Chief Investment Officer Scott Tremlett dive into critical market updates following the recent tariff announcements. They discuss how negotiations have eased initial economic fears, the shifting inflation outlook, updates on Fed rate expectations, and the resilience of the bond and stock markets.

    Scott also shares important adjustments to his investment strategy, including a shift away from U.S. equities, a focus on infrastructure and cybersecurity sectors, and an increased allocation to international markets. Tune in for timely insights, strategic positioning advice, and a clear breakdown of how global events are shaping the investment landscape.

    🎙️ Stay informed. Stay ahead.

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    8 m
  • Tariff Shockwaves: Impacts on Markets, Inflation, and Investment Strategy - 4/3/2025
    Apr 3 2025

    In this special midweek episode of Paramount Wealth Perspectives, host Chris Coyle and Chief Investment Officer Scott Tremlett discuss the unexpected and historic tariff increases announced this week, analyzing their economic impact and potential retaliations from global markets.

    Scott explains how the tariffs—pegged to bilateral trade deficits—could drive inflation higher, potentially pushing CPI to 4.5% in 2025 before gradually declining. They also explore the implications for the U.S. labor market, including immigration slowdowns, rising jobless claims, and the possibility of negative GDP growth in the second quarter.

    Scott offers insights on how these economic shifts may influence the Federal Reserve’s decisions, including potential rate cuts later this year, and the possibility of fiscal stimulus if the economy continues to slow. Finally, they discuss critical portfolio management strategies, emphasizing the importance of diversification, international investments, and avoiding over-concentration in U.S. stocks.

    Whether you’re a seasoned investor or trying to stay informed, this episode provides valuable guidance for navigating a rapidly evolving economic landscape.

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    9 m
  • Navigating 2025: Job Market Trends, Inflation Insights, and Investment Strategies - 3/24/25
    Mar 24 2025

    In this episode of Paramount Wealth Perspectives, host Chris Coyle welcomes Scott Tremlett, Chief Investment Strategist, to answer pressing questions from clients and community members. They discuss key economic trends shaping 2025, including the recent uptick in unemployment, the implications of cooling inflation indicators like CPI and PPI, and what slower retail sales growth could mean for the broader economy. Scott also shares his insights on consumer sentiment, potential Federal Reserve rate cuts, and strategic investment opportunities in a shifting market.

    Tune in for actionable insights to help you stay informed, stay ahead, and make smarter financial decisions in 2025.

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    8 m
  • Navigating Tariffs, Tech Trends, and Global Markets: Expert Insights from Paramount Wealth Perspectives - 3/10/25
    Mar 10 2025

    In this episode of Paramount Wealth Perspectives, host Chris Coyle is joined by Scott Tremlett, CEO and Chief Investment Strategist at Paramount Associates Wealth Management, to answer pressing questions from the community.

    Tune in as they break down key economic concerns, including the impact of tariffs on the economy and investment strategies, insights on AI’s role in the tech sector, and Scott’s perspective on international stocks as undervalued opportunities. They also discuss the strength of the U.S. dollar and its implications for global investments.

    Gain valuable insights on navigating uncertain markets and learn how strategic investing can help you stay ahead. Don't miss this informative episode filled with actionable advice for investors of all levels.

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    10 m
  • Fun Facts from 2024 - 1/13/25
    Jan 13 2025

    In this episode of Paramount Wealth Perspectives, host Chris Coyle and Chief Investment Officer Scott Tremlett dive into the key market and economic highlights of 2024, reflecting on a year of remarkable milestones, unexpected events, and record-breaking achievements. From the S&P 500’s stellar performance and Nvidia becoming the world’s largest company to gold’s resurgence and global political shakeups, they explore the fascinating shifts shaping the global economy.

    Scott also shares intriguing statistics, such as Taylor Swift’s economic impact, SpaceX’s groundbreaking rocket interception, and geopolitical events like South Korea’s political turmoil. As we turn the page to 2025, they discuss what lies ahead, including inflation reports, international monetary policy updates, and key economic indicators to watch this week.

    Don’t miss this engaging recap of 2024 and a forward-looking glimpse into 2025. Stay informed, stay ahead, and join us for insights that matter most.

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    7 m
  • Holiday Break - 12/30/24
    1 m
  • Fed Speak Rattles Markets - 12/23/24
    Dec 23 2024

    In this holiday edition of Paramount Wealth Perspectives, host Chris Coyle and Chief Investment Officer Scott Tremlett explore the latest market developments and economic trends. From the S&P 500's second consecutive weekly decline and a historic spike in volatility to the Federal Reserve’s cautious outlook for 2025, this episode delves into how shifting data and policy signals are impacting market expectations.

    Scott breaks down the implications of stronger-than-expected retail sales, inflation trends, and consumer sentiment, emphasizing the delicate balance between economic resilience and the Fed’s rate decisions. With a mixed outlook for next year, the team discusses the bull case driven by optimism and innovation and the bear case underscored by stretched valuations and geopolitical risks.

    They also highlight this week’s light economic calendar and share heartfelt holiday wishes with listeners. Don’t miss this insightful episode to stay informed and ahead of the curve. Happy holidays from all of us at Paramount Wealth Perspectives!

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    7 m
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