No Crying in the Casino: Powell, $PLTR, and Rate Cuts
Update: 2025-08-24
Description
In this episode, Robert breaks down why some investors felt far more pain than others during the week’s market volatility and what that reveals about portfolio risk, beta, and balance. He explains how to think about high-growth names like Palantir and Robinhood alongside steadier compounders like Berkshire Hathaway and Visa, and why position sizing matters more than most investors realize. From crypto allocation to Fed policy shifts, he shares how he structures his own portfolio to outperform without getting blown up by drawdowns. Plus, a listener question on housing and interest rates sparks a conversation about what really drives mortgage costs.
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