Weekend Edition EP97:Rate cut “hopes” keep market at sky high valuations
The episode concludes with insights into commodities and market trends, emphasizing the importance of understanding these evolving technologies in the financial landscape.
The episode concludes with insights into commodities and market trends, emphasizing the importance of understanding these evolving technologies in the financial landscape.
Nvidia faces increasing scrutiny after trading algorithms uncovered critical accounting red flags in its latest earnings report, highlighting issues beneath the headline growth. Key among these is a sharp rise in accounts receivable, with the company’s Days Sales Outstanding (DSO) spiking to 53 days—well above norms and suggesting customers are taking delivery of chips they can’t pay for, resulting in phantom revenue.
Nvidia faces increasing scrutiny after trading algorithms uncovered critical accounting red flags in its latest earnings report, highlighting issues beneath the headline growth. Key among these is a sharp rise in accounts receivable, with the company’s Days Sales Outstanding (DSO) spiking to 53 days—well above norms and suggesting customers are taking delivery of chips they can’t pay for, resulting in phantom revenue.
U.S. and Australian markets have seen increased volatility and cautious sentiment, with a notable surge in U.S. layoffs, mixed performances across sectors, and shifting investor moods captured both in corporate results and social media reactions. Mark and Jonathan from MPC Markets take a bearish stance, highlighting investor anxiety, disconnects between market levels and sentiment, and the importance of staying informed and cautious as market dynamics evolve.
Amazon crushed earnings on the back of AWS—but what does that mean for AI-led infrastructure and the rest of the MAG-7? In Episode 92, Jonathan and Kai dive into a mixed week for equities, Japan’s booming Nikkei, Australia’s CPI shock, the Fed’s “hawkish cut,” and a powerful move in uranium and gold. Plus: Kai’s thoughts on CSL after the sell-off and Jonathan’s Trade of the Week—Ballard Mining (BM1).
In this episode of Bulls vs Bears, Mark and Jonathan discuss the latest market trends, focusing on Tesla’s earnings, the dynamics of the gold market, and innovations in the mining industry. They explore the implications of Netflix’s strategy in the streaming market and the potential of AI technologies. The conversation also touches on investor sentiment and predictions for the upcoming economic landscape, emphasizing the importance of understanding market movements and the underlying economic factors.
discuss the latest trends in the financial markets, focusing on gold and silver prices, economic indicators, and the implications of Japan’s new leadership.
discuss the latest trends in the financial markets, focusing on gold and silver prices, economic indicators, and the implications of Japan’s new leadership.
The worlds richest man & the worlds most powerful man have a social media “spat”
In this episode, Jonathan and Mark discuss various market trends, including Nvidia’s strong earnings, the approval of Woodside’s gas project, and the implications of a potential bear market rally. They analyze the performance of the ASX, US earnings, and bond market dynamics, while also touching on geopolitical factors affecting commodities like uranium, gold, and silver. The conversation wraps up with predictions for the upcoming week and insights into investment strategies in the crypto space.
“Bulls vs Bears,” provides a comprehensive overview of current market trends, economic developments.
“Bulls vs Bears,” provides a comprehensive overview of current market trends, economic developments.