The Capitalist Investor - Episode 282

In the latest episode of the Capitalist Investor hosts Derek and Luke cover a range of pressing issues affecting both the market and the broader economic landscape. From seasonality in the stock market to the global economic outlook, the discussion is packed with valuable insights.

Seasonality and Market Trends
One of the main focuses of this episode was the impact of seasonality on stock market performance. Historically, September has been one of the worst months for stocks. Luke highlights that since 1929, September has generally seen a decline of around 2%, and over the past decade, the average drop has been 4%. They dig into whether this trend will continue this year, considering the current market dynamics and historical trends.

Nvidia and the Magnificent Seven
Nvidia’s recent stock slump is part of a larger discussion about the “Magnificent Seven” stocks—Nvidia, Apple, Amazon, Google, Facebook, and others. Luke and Derek delve into whether these tech giants will continue to drive market performance or if the momentum is shifting. The concern around their future profitability and growth potential is central to this topic, especially as investors are reevaluating their positions in these heavy-weight stocks.

Stock Pickers Market
Both hosts emphasize the assertion that we are now in a stock picker’s market. The conversation revolves around the diminishing effect of just investing in the top-performing tech stocks. Luke points out that the bottom 493 stocks in the S&P 500 are expected to deliver most of the market’s earnings growth going into 2025, shifting the focus from a handful of tech giants to a broader array of companies. This shift could present new opportunities for discerning investors.

Global Investment Opportunities
The episode also covers the potential for international markets to outperform the U.S. markets. Luke suggests that with the U.S. potentially facing economic downturns and volatility, investors might start directing their capital to emerging markets like India, Mexico, and Brazil. These markets offer growing middle classes and significant economic potential, presenting a compelling case for international diversification.

Market Sentiment and Election Impact
With the upcoming election, market sentiment is expected to be volatile. Derek and Luke discuss the potential impact of the election on the markets and the importance of tuning out the noise. They stress that investors should focus on key indicators like unemployment rates and earnings growth rather than getting caught up in sensational headlines. For investors, maintaining a long-term perspective is crucial in such uncertain times.

This episode of the Capitalist Investor provides a comprehensive overview of current market conditions and the factors influencing them. From the expected September slump to the rise of international markets, Derek and Luke offer valuable insights that can help investors navigate the complex financial landscape.

Remember, the key takeaway is to always consider the broader market dynamics and not get swayed by transient news cycles. And as always, consult a qualified professional for your individual investment needs.

Stay tuned to the Capitalist Investor for more in-depth analysis and investment strategies.

Hope you enjoy the recap and insights from the Capitalist Investor’s latest episode. Happy investing!

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Keep Listening to The Capitalist Investor:
Episode 1:
Capitalism vs Socialism
Episode 3:
Impact of a Bernie Sanders Presidency
Episode 4:
Coronavirus, Pandemics, and Your Money
Episode 2:
Is the Stock Market Overvalued?
Episode 5:
What We Consider A Smart Investment Strategy, Ep #5
Episode 6:
Why Investing In IPOs Is Not A Good Idea, Ep #6
Episode 7:
How a Joe Biden Presidency Will Impact Your Portfolio, Ep #7
Episode 11:
The Student Loan Problem: Is Capitalism to Blame? Ep #11