Wealthion – Be Financially Resilient
Michael Green reveals the hidden economic dangers and the risks of passive investing in today's market.
In this episode, Andrew Brill welcomes back Michael Green, Portfolio Manager and Chief Strategist at Simplify Asset Management, for an insightful discussion on the current state of the economy.
Discover why market indexes continue to hit new highs despite underlying economic weaknesses, and learn about the potential risks of passive investing.
TIMESTAMPS:
00:00 - Introduction
01:34 - Economic Deceleration and Employment Data
02:23 - Market Highs vs. Economic Weakness
05:00 - Understanding Passive Investing
08:07 - Risks of Passive Investing
10:39 - Impact of Employment on 401ks
13:57 - Job Growth and Market Risks
15:51 - Misinterpretation of Market Highs
18:55 - Active vs. Passive Management
21:45 - Concentration in Large Stocks
24:03 - Geopolitical Risks and Semiconductor Market
25:24 - Socioeconomic Inequities and Inflation
28:44 - Personal Debt and National Debt
30:30 - Interest Rates and Economic Impact
35:57 - Federal Reserve Policies and Public Impact
36:47 - Google's Antitrust Case
39:47 - Protecting Personal Wealth
41:04 - Importance of Long-Term Investing
41:52 - AI and Economic Productivity
42:40 - Closing Remarks
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