SUMMARY:
Andy, Noah, and Corey break down the current investing landscape—from the risks hidden in earnings season to the long-term impact of AI and systemic shifts in the market. The trio covers how to spot systemic vs. non-systemic risk, why volatility is both a threat and an opportunity, and how smart investors can use earnings reports without getting caught in short-term traps. Plus, they dive into the real meaning of a stock's price, what Warren Buffett gets right, and how investors can make informed decisions during uncertain times.
Mentioned in This Episode:
-Systemic vs. Non-Systemic Risk (BP Oil Spill, 2008 Crisis)
– The VIX, Volatility, and Market Fear
– Dow Chemical’s Dividend Legacy
– Warren Buffett’s “Moat” and Durable Advantage
– AI as a Systemic Market Force
– Tesla, Amazon & Long-Term Growth Stories
– Shiller PE Ratio, Tariffs, and Earnings Guidance Trends
Call to Action:
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