DiscoverData Meets Dollars: A Pluto.fi Podcast
Data Meets Dollars: A Pluto.fi Podcast
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Data Meets Dollars: A Pluto.fi Podcast

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Welcome to the Pluto Podcast where Data Meets Dollars! We breakdown the markets before you can finish your coffee. Give our AI-powered tools a try yourself at Pluto.fi today! From research to trade, we're here to support your investing. 

Hosted by Ausha. See ausha.co/privacy-policy for more information.
34 Episodes
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In today's episode, we explore the recent fluctuations in the US stock markets. While major indexes show a modest rise, the Russell 2000 has dipped, possibly due to Jerome Powell's remarks on interest rates. Individual stock performances vary, with Tesla facing challenges, while Netflix and AT&T thrive. Amidst these shifts, unemployment benefits have seen a notable decline. We'll also discuss the prevailing market sentiment influenced by diverse factors, from mixed earnings to rising oil prices. Insights from Seeking Alpha raise questions about the S&P 500's trajectory and emphasize the merits of investing in stable, dividend-rich firms. So much to cover today on the Pluto.fi pod!Hosted by Ausha. See ausha.co/privacy-policy for more information.
Let's briefly turn our focus to recent earnings reports, dissecting Tesla's latest results and juxtaposing them against the positive outcomes from companies like Netflix. With earnings having the power to sway market sentiment, being well-informed is pivotal. Then, we discuss the potential of a year-end rally for the S&P 500 based on historical patterns - concluding with our "did you know" segment. Learn more about the dividend yields of the SPY and QQQ ETFs on this Pluto.fi pod episode! Hosted by Ausha. See ausha.co/privacy-policy for more information.
We discuss the varied performances of major indices like the Dow Jones, S&P 500, and more. Discover the ETFs that Zacks Investment Research has on their radar and unravel the potential of a year-end rally for the S&P 500 based on historical trends. While history offers insights, the future is unwritten. Join us on today's ep of the Pluto.fi pod as we navigate the complex world of investments and seek to understand what lies ahead.Hosted by Ausha. See ausha.co/privacy-policy for more information.
the latest on ETFs with a special focus on sectors making waves, like healthcare and gold. Explore the potential of iShares Core S&P 500 ETF, learn about the appeal of 'wide moats', and discover why mega-cap companies are grabbing attention. Plus, get insights on risk-averse strategies and top assets spotlighted by Zacks Investment Research. All this, paired with a fun 'did you know' tidbit on the S&P 500. Tune in for a comprehensive ETF exploration!Hosted by Ausha. See ausha.co/privacy-policy for more information.
Join us as we dive deep into the world of finance, breaking down what's been happening with heavy-hitters like the Dow Jones (DIA), S&P 500 (SPY), Nasdaq (QQQ), and Russell 2000 (IWM). We'll shed light on their recent tracks and what it might mean for the broader markets. And, we'll talk Microsoft's big moves in the AI realm. Bonus, Pluto.fi has dropped a new feature for stock comparisons! Hosted by Ausha. See ausha.co/privacy-policy for more information.
In this episode, we tackle the Federal Reserve's interest rate dilemma unveiled in the latest meeting minutes, showcasing a majority leaning towards another rate hike amidst contrasting economists' forecasts. The narrative shifts to the US inflation rate exceeding expectations, stirring debates on the Federal Reserve's next step amidst strong job figures. The spotlight then moves to the weakening US stock futures, triggered by soaring oil prices and China's frail economic data, hinting at a possible Fed funds rate cut in 2024. Despite the rough waters, Nasdaq and S&P 500 find a higher opening, with Wall Street juggling the ramifications of a robust inflation report on forthcoming Federal Reserve actions. Hosted by Ausha. See ausha.co/privacy-policy for more information.
In this episode, we diveinto the repercussions of the recent Federal Open Market Committee Meeting minutes which hint at a possible federal funds rate hike, stirring market volatility. We scrutinize the ongoing Federal Reserve's interest rate hike campaign and its nearing end amidst slowing inflation and geopolitical uncertainties. Anticipation builds around the September CPI report and its potential sway on the Federal Reserve's interest rate decisions. We wrap up with a positive outlook in stock futures, buoyed by Delta Air Lines' strong quarterly results, declining bond yields, and lower oil prices, setting an optimistic tone amidst the unfolding earnings season.Hosted by Ausha. See ausha.co/privacy-policy for more information.
In this episode, we discuss the current market upswing driven by Federal Reserve statements, rising oil prices, and a robust defense sector, shedding light on their historical impact on market trends. We delve into the favorable ripple effect of the Fed's dovish remarks on investor confidence and market gains. The narrative takes a twist as we explore a compelling piece challenging the Federal Reserve's control over the market, urging a look into the profound role of market sentiment. Despite the upbeat market rhythm, we touch on a sentiment update hinting at a possible market downturn, reminding investors of the importance of vigilance. The episode rounds off with a rally in U.S. stocks fueled by positive global sentiment and dovish Fed officials, emphasizing the intertwined nature of global events and market trends. Hosted by Ausha. See ausha.co/privacy-policy for more information.
In this episode, we start with a snapshot of the market indices and then dive into the performance grades of key ETFs, emphasizing their 12-month returns. We discuss dividend yields crucial for income-focused investors and touch on the bearish market sentiment amidst rising long-term interest rates. The episode explores signals from the S&P 500 futures and the VIX regarding market stability and potential rebound, while also hinting at the anticipatory market mood awaiting Fed speeches and inflation reports. Lastly, our "Did You Know?" segment unveils some light-hearted trader superstitions around Fed speeches, adding a fun twist to serious market monitoring.Hosted by Ausha. See ausha.co/privacy-policy for more information.
Explore market-moving events in our latest episode where we analyze the upcoming September CPI report and Treasury bond auctions. We discuss the VIX and what it indicates about the current market correction. We also examine the reluctance in the US stock market despite oversold conditions, and an opinion piece advocating for stock purchases despite bond yield concerns. In our "Did You Know?" segment, we delve into the history of the VIX, its historical highs and lows, and its role in measuring market volatility.Hosted by Ausha. See ausha.co/privacy-policy for more information.
Untangle the complex web of market indices amidst prevailing volatility, and sift through the battle between Federal Reserve officials and CEOs on recession predictions. We also delve into the discourse surrounding the surge in Treasury yields and its eerie echo of the pre-1987 market ambiance. Amid investors awaiting non-farm payrolls data, we shed light on the optimistic narrative of investing in stocks as proposed by MarketWatch. In our "Did You Know?" segment, grasp the nuances of dividend yields as they flutter below 3 for Dow and SPY, and their implications on your investment cash flow. So much more on today's Pluto.fi pod!Hosted by Ausha. See ausha.co/privacy-policy for more information.
The ADP job report and market sentiment are closely aligned: and the ripple effect of Treasury bond sell-offs on U.S. stocks is too! This episode shades light on the fluctuating market stage set by easing bond yields, tech stock performances, and the hopeful tune of a market recovery suggested by The Arora Report. Amidst all the news, our "Did You Know?" segment deciphers the reason behind the ADP National Employment Report, a bellwether of economic health! Tune in to explore more or dig even deeper with your own AI Investing Copilot at Pluto.fi! Hosted by Ausha. See ausha.co/privacy-policy for more information.
In this episode of Data Meets Dollars, we unfold a mixed bag of market dynamics. We'll check out the unexpected bounce of US manufacturing activity, while peeping at a few recent stock tumbles, soaring Treasury yields, and ensuing market volatility. Dive into how the 'fear gauge' VIX mirrors the markets amidst a cautious opening for the S&P 500 and Nasdaq. Tune in for that and more on Pluto.fi's pod! Hosted by Ausha. See ausha.co/privacy-policy for more information.
It's the contrasting performances of major US indices for me! It's October 3rd! Discover The Motley Fool's take on investing in an S&P 500 tracking ETF before 2023 wraps up. Uncover why October's volatility might be a double-edged sword and how the recent rebound in US manufacturing could be a silver lining. Lastly, stroll down the eerie alley of October's historical market jinxes in our “Did You Know?” segment. Tune in for an enlightening blend of market data and breakdowns on the Pluto.fi pod!Hosted by Ausha. See ausha.co/privacy-policy for more information.
Need the pulse of the US stock market of the performance of major indices and key ETFs? We got you covered. Uncover how these indices can potentially ripple through individual stocks and sectors. Plus, a little nugget on the inception of ETFs in our “Did You Know?” segment. Tune in for a dose of market update to get your mornings started! Get real-time data of any market moving matter at Pluto.fi! Hosted by Ausha. See ausha.co/privacy-policy for more information.
In this episode: S&P 500 outpaces global stocks, majority of stocks dip below 50-day averages, potential U.S. government shutdown on the horizon, quarterly options expiry stirs the pot, and a grim throwback to 2008's market plunge. There's a lot going on, so lets plug in before the weekend!  Your AI Investing Copilot is here to support you through your financial wellness journey at Pluto.fi! Hosted by Ausha. See ausha.co/privacy-policy for more information.
Dive into the latest market movements: from rising bond yields impacting Nasdaq and S&P 500 futures, to the effects of weak consumer confidence and legal challenges faced by Amazon with us this morning. While there's a mix of bearish sentiments, technical analysis hints at a potential bullish trend for the SPY. Hear predictions from JPMorgan strategists and get insights on global market trends, from Asia to Europe. Plus, don't miss our "did you know" segment, spotlighting the resilience of small caps amidst market volatility. Stay informed and ahead of the curve from Pluto.fi!Hosted by Ausha. See ausha.co/privacy-policy for more information.
Tune in as we delve into the pulse of the market, spotlighting the Dow Jones, S&P 500, Nasdaq Composite, and Russell 2000. Discover their current standings, grades, and what they mean for your investment journey. Whether you're a seasoned investor or just starting out, get the insights you need to navigate the financial waves. Hosted by Ausha. See ausha.co/privacy-policy for more information.
The S&P 500 nears a crucial 4,200 point, suggesting potential trend changes. There's market unease due to potential rate hikes, but some predict a positive year-end. Considering inflation, some sectors might offer better returns than the broader S&P 500. Bank of America boosts its S&P 500 year-end target, while concerns rise about possible market corrections. Hosted by Ausha. See ausha.co/privacy-policy for more information.
We're breaking down the S&P 500's shaky ground, Apple's iPhone 15, the quiet Russell 2000, and a quick bite on why the S&P 500 is the big kahuna of the stock world! Tune into the pod for daily data on market movements! You can use your own AI Investing Copilot for all market research and data visualization at Pluto.fi!Hosted by Ausha. See ausha.co/privacy-policy for more information.
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