Bull | Bear Radio: Recent Episodes

WBI

Financial services industry veteran Rick Kundracik joins WBI Co-CEOs Matt Schreiber & Don Schreiber, Jr., to provide wealth-building insights that keep you on top of the markets.

Past performance does not guarantee future results. The views presented are those of podcast participants, and should not be construed as investment advice. Important disclosures: http://bit.ly/2Co4ush

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With potential changes to tax laws on the horizon, Don Schreiber, Jr. of WBI and PIMCO's Alan Trice will discuss the tax advantages that municipal bonds and dividend income may provide investors with now and in the future. The panelists will also discuss the tax advantages ETFs can provide.

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In this episode, Matt, Don & Rick take a look at the current tax situation and the proposed tax reform from the Biden administration. We also get their takes on fundamentals and what is happening in the markets.

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Take a walk down memory lane as we remember the 10 best episodes so far. Since 2017, we've been all about have interesting and informative conversations about investing, the economy, and the financial services industry. Join us as we celebrate 100 episodes!

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Rick, Don, and Matt discuss how raising taxes too soon may negate the positive effects of government spending. The team also discusses the recent fears by many of runaway inflation. This and more on this week's BBR.

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Don, Rick, and Matt talk about the recent selloff and what it may mean for markets. The BRR team also discusses the dated concept of conservative, moderate, and aggressive risk classifications for clients. How can you do it better? The team shares their thoughts on the topic and so much more.

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The team analyzes the most recent earnings season for the S&P 500 and Russell 2000. What does it mean for the economy on a go forward? Has the economy recovered from COVID-19? Do we need a $1.9 trillion stimulus package? Are stocks in a bubble? These questions and more are answered in this episode of Bull|Bear Radio.

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On this episode of Bull Bear Radio, new host Rick Kundracik asks Matt & Don 6 questions on investors' minds in 2021. What might happen with stocks this year? Is the $2 trillion dollar stimulus enough to boost the US economy? How should retiring investors diversify in the 21st century? What do Gen Xers need to know about investing for retirement now? Is there a wrong time to trade an ETF? How will COVID-19 lockdowns look in 2021?

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Don and Matt are back with a new host! Financial services industry veteran Rick Kundracik joins the team as Bull | Bear Radio’s new host. The team recaps 2020 market performance, the U.S. government’s gravy train, and risk/opportunities in the New Year.

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Hosts Matt Schreiber and Don Schreiber, Jr. give you a little sneak peek into their 2021 economic forecast.

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The boys are back for a pre-election special. Matt and Don talk about the recent market decline. What are fundamentals trying to tell us about the economic recovery? How will a red or blue win affect the recovery and stimulus talks? Will either candidate wave the white flag and concede? What happens to stimulus and the economy if the election is contested. Tune in now to hear Matt and Don’s pre-election thoughts and how markets will be affected.

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It’s October and things are getting spooky….Don and Matt discuss why the markets have been getting rocked. They’re giving you a temperature on what earnings season looks like and how that might affect the markets.

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Don and Matt discuss how the election may effect the market, the building consensus for a potential correction, and how another financial crisis may be averted.

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Will markets get slammed or jammed in September? Matt and Don discuss the ingredients that will cause the market to jam or get slammed in September and beyond.

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During this episode, Matt and Don discuss the current earning season carnage and surprises, the shape of the recovery, and where the market may go from here. Tune in now to hear more about their current thinking and the “J” shaped recovery that starts to take shape.

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In this episode, Don and Matt Schreiber discuss the “hot" market year-to-date, stock valuations, and is value investing dead?

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Matt and Don are back for BBR #87. They discuss the new Ford Bronco. Are Matt and Don bullish or bearish on the new rig? Is the tech trend here to stay? Matt and Don discuss this and other segments of the market and give their bullish or bearish opinion.

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Hosts Matt Schreiber and Don Schreiber, Jr. discuss the potential market implications of rising COVID cases as economies begin reopening around the country in this new episode.

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Joined by Cyborg warrior Scott Kreitz, hosts Matt Schreiber and Don Schreiber, Jr. have and exciting announcement for Bull|Bear Radio listeners in this new episode. Plus, the TAMP we believe is poised and positioned to take most of those other players' money.

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Everyone wants to know the shape of the post-COVID economic recovery. Is it going to look like a V, or should we expect something more like a W? Co-hosts Matt and Don Schreiber discuss this and more on a new episode of Bull|Bear Radio.

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Impact of COVID on Corporate Fundamentals (#83) by WBI

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We're bringing you Bull | Bear Radio from lockdown. Matt and Don are talking about the COVID-19 crisis and markets from their home offices.

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We've had our fair share of grim results within the markets and economy lately. An ease in geopolitical tension and trade resolution could breathe life back into the markets. What else could push the market higher? Plus, earnings season is back and we dive into the mixed bag of results.

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As if the trade wars weren't enough, the current political harangue is causing more unrest for investors. It seems we have a case of impeachment indigestion. Recent monetary policy may have been a catalyst for positive change, but could we actually start to see economic growth? Will investors start to believe that fundamentals matter more than tweets when it comes to making investment decisions? All this and more on this week's episode.

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In this episode, our experts debunk the news that surrounds the media about passive vs. active investing and value vs. growth. What crisis do investors face? Aside from an impending recession, they face the risk of losing out on bull market returns.

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Within this episode, we reflect on recent market volatility and look ahead to the Fall as the market limps to the August finish line. Right now the bears have it, the bulls don't. Our experts aren't holding their breath.

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It's been a wild month for the markets, are we about to go off the rails? The track ahead looks scary, investors should keep their restraints fastened and prepare for possible twists and turns ahead.

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We don't need to tell you markets have been messy lately. Unfortunately, the Fed's rate cut bump was short-lived and now investors are looking for a mop. Will Fed policy, corporate buybacks, and "Fear of Missing Out" trades be enough to clean up this bull market? WBI's Steven Van Solkema joins us to talk about what could come next.

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Talk is cheap. Recent Fed comments on the state of the economy and interest rate plans have the markets reacting, but why? There is a growing disconnect between actual economic data and the picture painted by the Fed and mainstream media. What should advisors and investors be paying attention to instead? Plus, earnings season is back! We review the latest numbers for Q2.

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Our experts think the economy isn't nearly as strong as media is making it appear. Find out what economic indicators Matt and Don are evaluating this week and what questions they think investors should be asking now.

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We're cutting to the chase on this special episode of Bull|Bear Radio. WBI CIO, Steven Van Solkema, weighs in on the "to cut or not to cut" debate surrounding this week's Fed meeting.

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Matt and Don navigate the dark corners of the markets in this episode of Bull|Bear Radio. After the May meltdown, markets are in need of a hero. Will we find one in the U.S./China trade war?

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It’s East versus West these days with China trade tensions peaking, almost reminiscent of the Cold War. How will earnings and the market respond? Matt and Don discuss their thoughts on this and more in this week’s episode.

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A review of the latest Q1 earnings and revenue numbers expose risk on the horizon. Matt and Don review sector risk and the effect of our crumbling infrastructure on the markets. Plus, an unconventional idea to get the U.S. economy back in the infrastructure game.

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We're asking ourselves a few big questions within this episode of Bull|Bear Radio. Like why does the industry push buy & hold? Investors following conventional investing wisdom may not be as successful as they could be.

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If you hang around long enough in a dangerous environment, eventually, you’re going to suffer the consequences. Right now, the economy and the markets are feeling a little damp. It’s not pouring rain yet, and we might be able to still enjoy a period of positive market returns for some time. But signs of deterioration abound and the likelihood of a recession at some point continues to increase.

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Investors are having Dèjá Vu when it comes to the markets. Within this episode, Don and Matt discuss the similarities between the markets in 1999 and today.

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In this episode, our experts survey the latest economic and market trends to help investors connect the dots and see the bigger picture. Spring has sprung, can the markets spring up too?

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Many financial advisors struggle to convert their practices into valuable businesses. Don Schreiber, Jr, author of Building a World-Class Financial Services Business, offers his advice to financial advisors for creating sustainable, salable businesses. Plus, will the market melt up or melt down? Matt Schreiber and Don Schreiber, Jr. discuss how geopolitical trends may impact the stock market in the second quarter.

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The hungover market might slip and slide right off the cliff back to market lows. Or, investor optimism mixed with some central bank intervention could float stock prices to new heights. Investors that want to know what may come next should listen to this week's episode.

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Has the blind passive indexing craze started to wind down? Recent market moves suggest that investors are finally looking at corporate fundamentals. In this episode, Matt and Don analyze how this week's market headlines are impacting stock prices in a way we haven't seen in years.

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The Fed and Central Bankers are walking a very slippery tightrope attempting to maintain positive consumer sentiment and spending to drive economic growth. Will the policy flip-flop this winter be enough to keep markets moving higher? Plus, it is earnings season, baby! Don Schreiber, Jr. tells us what he thinks the recent large cap and SMID earnings and revenue news means for investors.

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This week Don is telling investors what they need to know about corporate buybacks and how they are impacting stock prices and earnings. Plus, Don has a strategy that may give investors the best of both worlds: WBI's DRS combines passive and active management in one product.

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Chairman Powell is stirring the "put"-ting and people are becoming addicted. Will this satisfy investors at the onset of potential earnings disappointments? Matt and Don are talking about fundamentals and the Fed this week. Plus, tune in next week for a special edition episode that you need to see to believe.

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The markets can't decide if they want to sink or swim. Early earnings reports are a bit disappointing, FAANG is back, and geopolitical uncertainty remains. Here we go again. Listen to this week's episode to find out what else Matt & Don think you need to know about today's markets.

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The market seems to like the Powell pudding, but will it stick? Matt & Don examine the current state of the economy from several angles in this episode of Bull|Bear Radio. Plus, positive returns in 2018? If you thought "no way" you need to listen to this episode.

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December of 2018 was the toughest on markets since 1931. After partying hard during this long running bull market, investors are starting to feel the pain. In this episode, Matt and Don are kicking off the new year talking about what they think might lie ahead for markets and economies.

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The Fed announced another rate hike and a market meltdown has since ensued. Indexes around the globe have taken a hit and the carnage is palpable. Though stocks are mostly in negative territory and the market seems DOA, earnings trends may be an indication that the bull could bounce back. We discuss this and more on this week’s episode.

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Volatility is officially back. The market has dipped into correction territory four times this year. We break down the biggest problems the economy is currently facing as well as some new risk factors around the globe that have materialized in the last week. Where do things go from here?

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2018 may go down in history as the worst year for investors, is Santa Claus coming to town? The Dividend Doctor breaks down the math of taking large losses within the latest episode of Bull|Bear Radio.

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We have our Christmas wish list and we're checking it twice. Santa's sleigh has landed and gifted us a moderated Fed tone, but there's more the markets need to revive at year-end. Have analysts dropped the ball on earnings projections for the New Year? Find out within this week's episode of Bull|Bear Radio.

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We're about to take off into 2019 and it's looking like a bumpy ride. In order to avoid market turbulence, what could make 2019 great again? We're talking about the markets leading up to 2019 within this week's episode of Bull|Bear Radio.

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Q3 earnings look strong, but midterm election results and Fed rate hike insanity indicate risk on the horizon. Companies have put presents under the tree, but will the Fed derail a Santa Claus rally?

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Douglas Yones, Head of Exchange Traded Products at NYSE, guest stars on our 50th episode! We're busting one of the biggest misconceptions in the ETF industry. Think you know how liquidity works? Test your knowledge with this week's episode.

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Earnings are up but revenues are getting soft. What does that mean for the market? Matt and Don get deep in this week's episode, providing clarity on the current market risk by breaking down the latest earnings reports and market internals which expose the serious leadership problem going on in the S&P 500.

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The latest Fed minutes are out, are investors reacting to the insanity? This episode discusses the recent market volatility, indicators that the U.S. economy might be slowing, and the concerning issues in emerging markets and China. There's potential market risk from the upcoming mid-term elections and more rate hikes on the horizon, but there's still a silver lining in the latest earnings reports. Will year-end bring risk or a rally? Listen now for insights you don't want to miss!

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The market is looking like a trick to us and the Fed is stealing all the candy. S&P 500 stocks have entered bear market correction territory, is this a market meltdown? The Business Building Corner is back with insights on preserving capital.

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Q3 has seen some record market highs, but take caution. Markets right now are like a scene out of Titanic - even after hitting the iceberg the party kept going until reality sunk in. This episode highlights the early indicators of a slowing economy, and why now's the time to man the lifeboats!

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Markets are up, down, and all around. We discuss the latest market and economic risks and why it's becoming more important than ever to reduce your risk exposure in your portfolio. Building a World Class Financial Services Business author, Don Schreiber, Jr., breaks down the final 5 mistakes in his Top 12 list that business owners should avoid.

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Even though markets are rough overseas, there are several indicators that the U.S. economy is strong. But what goes up must come down. It's time to play defense. Do you know Y?

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Matt and Don fire up this week's episode talking the good and bad about recent economic news. In the Business Building Corner, Don breaks down 4 more common mistakes business owners make and how to avoid them. Check out Episode 6 of this season for his first set of tips!

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The dividend corner is back! Do you understand the compounding power of dividends? Dividend Doctor Don wrote the book on it, and shares why he feels dividends are such an advantage to achieve long-term investing success. Matt and Don also discuss Modern Portfolio Theory, and why even the great minds may agree that it’s time for a fresh set of principles.

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We're having deja-vu. This episode examines the trends in growth vs. value, and why the FAANG trade makes it feel like 1999 again (and why that should concern you). In the Business Building Corner, Don Schreiber, Jr., author of Building a World Class Financial Services Business, details the 4 common mistakes financial services professionals make when starting their own business.

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With significant profits, more jobs, and great earnings, these terrible tariffs aren't bringing the big companies down. But have growth stocks had their time in the sun? Matt and Don wrap up earnings season, then discuss trends in value vs. growth stocks and the power of dividends.

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There's a lot to be excited about, with excellent earnings, phenomenal fundamentals, and a confident consumer. Matt and Don break it down, then take you Back to School in this week's Dividend Corner.

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It's been a tug of war between positive earnings reports and the media hype about tariffs and mounting debt, but what's important to focus on right now? Plus, we discuss the 4 "P's" in this week's Dividend Corner.

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It's been a FAANG frenzy in the media - will we get back to all-time market highs, or is the next recession closer than some may think? What is a yield curve, why is it flattening, and why does this matter? Our in-house expert Steve Van Solkema joins Matt Schreiber to discuss on this week's episode.

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The benefit of a financial advisor should be receiving exceptional value. Matt and Don break down ways to avoid the average, as the active vs. passive debate continues in the media. Plus, check out our new segment - the Dividend Corner!

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What a great season! In this special episode, we are highlighting some of our favorite moments from Season 3. Stay tuned next season for more market insights!

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Negative returns are everywhere but Don doesn't think now is the time to worry. With markets seeing red, what are the sweet sectors to keep an eye on? Matt and Don discuss in this week's episode.

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With the Fed announcing four rate hikes this year and more tariffs fueling the trade wars, markets are seeing volatility. Matt and Don discuss where to find rays of light in the potential market storms ahead.

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One of the most important factors to getting to and through retirement is reinvesting dividends. Dividends have powered the S&P 500 over the long-term; find out how compounding can work for YOUR portfolio in this week's episode. Plus, we review the do's and don'ts when looking at a portfolio's yield.

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Market risks are on the rise, but Matt and Don think this bull will continue to rage on. Plus, if the work forever plan isn't for you, here are the tools you need to get to and through retirement.

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Earnings are great, businesses are operating better, and we have repatriation of capital - why is the market stuck in quicksand? Matt and Don examine the economic highlights in this week's episode, and why it's looking like a hot summer.

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As earnings season wraps up, there are a lot of highlights. But are you missing the one thing everyone else seems to be? Listen to this week's episode to find out which sectors are booming, and the key to identifying the companies with the best earnings next quarter.

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With GDP looking good in the first quarter, the trend is our friend to keep this bull running – if the Fed can stay out of the way, but will they? In the second half of Ep 4: Warren Buffett’s investing skill has been all the talk lately, but what we find more interesting is looking at those who taught him. We get into the great minds of finance – Graham, Einstein, Markowitz – in this week’s episode.

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Blockbuster earnings, reduced geopolitical tensions, and a strong Q1 GDP report are all good news for investors, so why isn't the market booming? Matt and Don discuss the current economic landscape both in the U.S. and abroad.

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Markets remain flat despite positive political and trade news, so where can you go for value? With banks forecasting significant increases in dividends, is it time to get on the dividend train?

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And we're back! Matt Schreiber and Dividend Doctor Don Schreiber, Jr. are kicking off Season 3 explaining why investors should pay attention to dividends. Plus, how much does all this recent geopolitical mess really affect markets?

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What a great season! 2018 started off as the year that anything was possible: the Eagles won the Super Bowl, volatility made a comeback, and Congress agreed to tax reform. In this special episode, we are highlighting some of our favorite moments from Season 2. Stay tuned next season to see what comes next!

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In the Season 2 Finale episode, we’re having a #FAANG revival. Matt and Don are discussing the impact of tech stocks on major U.S. indexes this year. Plus, is your portfolio all gas and no brakes? When the markets make investing look easy, we’re in a danger zone. Advisors are under pressure to deliver high returns to their clients in this rising risk environment. Don shares his advice to advisors in this common situation.

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The grass isn't always greener across the pond. This week, Matt and Don discuss international and domestic market conditions and where stock fundamentals show the most potential.

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Earnings are flying and the markets should be too. Is consumers reaction to the negative news cycle going to impact GDP? Will Trump's sledgehammer approach to trade crumble the pathway to prosperity? Don and Matt discuss these questions and more in this episode.

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Matt and Don are pulling back the curtain on the U.S. economy - will they find an all-mighty wizard or an old man? They are looking at Warren Buffett's cash hoarding, the U.S. housing market, surprising earnings results from the Russell 2000 and more. Are markets heading down a yellow brick road or a muddy path?

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On this week’s episode Don and Matt switch outlook positions. Find out why ‘Chainsaw Matt’ comes out.

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The days of low volatility may be in our review mirror even though market fundamentals look good. Learn why Matt and Don think the Fed is gearing up to cause another recession in this week's episode.

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Stock market volatility is back on investors' minds this week. Do you want the whole enchilada? Don and Matt warn against herd mentality and also discuss how WBI's investment management process combats volatility in the markets. *This episode was recorded Monday, 2/5/18

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Matt and Don break down the latest GDP headlines - why did Q4 2017 GDP miss the 3% growth target? Q3 state by state GDP looked strong, but what's to come? Also, Don discusses his latest article about the repatriation of capital and potential effects on the markets.

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What year is it? This week Matt and Don discuss how today's market conditions are giving them deja vu. Are investors partying like it's 1999? If so, does that mean we are doomed to repeat the bear market of the early 2000s? Find out in this episode.

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This week Matt and Don discuss the changing bond market after a 30-year bull run. They also get into why the tax bill might make small business walk the plank. Plus, as risk increases, are you prepared for what may lie ahead? Does a passive index ETF really care about you?

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On this episode of Bull | Bear Radio, Matt Schreiber and Don Schreiber discuss capital flows and IPOs.

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On the Season Two premiere, Matt and Don discuss their outlook for markets and the economy for 2018.

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We've got our first season under wraps! This special episode recaps some of the hot topics Don and Matt discussed this year.

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On the Season One Finale hear Don and Matt’s Earnings Season wrap up and Q4 GDP projections. Happy holidays from all of us at BULL | BEAR RADIO!

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This week’s episode is jam-packed, Matt and Don talk Santa Claus Rally, Tax Plan Implications, Bond Outlook, and Don’s Top 10 Worries.

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This week: Matt and Don are talking about the GOP's tax plan. Is Don finally getting the economy-boosting tax cuts he's been asking for? Plus, Steve Van Solkema, COO of Millington Securities, is in the studio talking about trading with Matt. Do you know the difference between high and low touch trading?

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In this special edition mini-episode, Matt and Don Schreiber unravel one of the great illusions of investing. Find out why returns aren't everything.

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This week: Special Guest Gary E. Stroik joins Matt Schreiber this week to debunk the Passive Indexed Products Myth and gives a product highlight on WBIR.

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Don and Matt talk Big Beats this week with Q4 Earnings Season projections. And learn what WBI is doing that could be just what you need right now.

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This week: Does Don breakout the chainsaw regarding earnings season? Join our masterclass talking about the basics of ETFs.

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On this week’s episode, Matt and Don break down GDP components to uncover a path to prosperity for the American economy. Plus, Don & Matt explain why there is a hole in the popular bucket strategy and what they think is a better approach to retirement planning.

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On this week’s episode, Matt and Don give you the low down regarding Fed guessing and central bank brainwashing and how that is affecting markets and the world over.

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This week take a deep dive into the New York Stock Exchange and the liquidity of Exchange Traded Products. Also, Don and Matt talk tax reform to spur economic growth.

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On this week’s episode find out why the bubbles are everywhere and how they have the potential to become economic quicksand. Plus what could happen with policy tax relief.

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On this week’s episode, Matt and Don discuss the impacts of Fed policy, why folks that should be marching toward retirement are going back to work, and how to institutionalize your business.

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On this week's episode: Is a bear market looming? And, why passive investing may be the most expensive mistake you ever make.