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Forward Guidance

by Blockworks · English · Business

The laws of macro investing are being re-written, and investors who fail to adapt to the rapidly changing monetary environment will struggle to keep pace. Felix Jauvin interviews the brightest minds in finance about which asset classes they think will thrive in the financial future that they en

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New episodes
Weekly
Typical length
52 min
Latest
4 Oct 2026
Language
English

Latest episode

4 Oct 2026 · 54 minNew

America’s AI Boom Is Squeezing Main Street | Weekly Roundup

Can policymakers keep the AI boom alive without squeezing the rest of the economy? This week, Aidan Garrib, PGM Global’s head of global macro strategy and research, joins us to explore the widening divide between Wall Street and Main Street. We discuss what’s driving bond yields, housing’s squeeze, the debasement trade, and Europe’s policy trap. Enjoy! TIMESTAMPS: 00:00 Intro 02:38 What’s Really Driving Bond Yields? 08:31 AI Booms While Housing Breaks 14:40 Can The Fed Get Yields Down? 19:23 The Fed’s Inflation Balancing Act 22:42 Can Main Street Survive AI’s Boom? 29:04 Why Policymakers…

Earlier episodes 29 most recent

  1. 25 Sep 2026 · 1 hr 2 min

    The Bond Market Pain Isn't Over | Weekly Roundup

    The 10-year just closed at 5.22%, but the pain trade may be even higher. This week, 40-year rates trading veteran DCP joins us as we examine the bond selloff and what it would take to actually break something and flip the pain trade in bonds. We explore SOFR hike pricing, AI capex and private credit, diesel's hit to Main Street, market concentration, the quiet consumer stock bear market, and where DCP would finally get long. Enjoy! TIMESTAMPS: 00:00 Intro 02:21 Why Bond Yields Keep Rising 07:30 Can Main Street Survive Higher Rates? 11:15 Can Treasury Stop The Selloff? 16:22 What Can’t The…

  2. 18 Sep 2026 · 1 hr 13 min

    The Fed Is Hiking Into A Growth Slowdown | Weekly Roundup

    What happens when the Fed hikes into fading stimulus, slowing growth, and persistent inflation? This week, we're joined by Vincent Deluard of StoneX Group to explore America’s emerging stagflation trap, AI’s economic support, and Europe’s potential Japan-style currency reset. We also discuss the contrarian case for UK equities and Canada’s investment revival. Enjoy! TIMESTAMPS: 00:00 Intro 01:34 Did The Fed Turn Too Hawkish? 08:10 The Stimulus Boom Is Fading 13:11 The Return Of Stagflation 21:06 Is The Fed Making A Mistake? 25:45 Can Trump Salvage Midterms? 32:35 Why AI Leaders Want…

  3. 16 Sep 2026 · 54 min

    The Market Is Mispricing A Correlation Shock | Dean Curnutt

    Historically low volatility may be masking a meaningful shift in market risk and the AI trade. This week, Macro Risk Advisors CEO and Alpha Exchange Host Dean Curnutt explains why unusually low stock correlations make tail hedging increasingly compelling. We explore volatility pricing, crowded correlation trades, the Treasury market stress, why AI stocks could suddenly move together, and whether the Fed can calm markets. Enjoy! TIMESTAMPS: 00:00 Intro 05:08 Why Stock Correlation Collapsed 10:49 What’s Driving The Dispersion Trade? 18:45 Ads (Token 2049, Avalanche Summit) 20:21 Could…

  4. 11 Sep 2026 · 45 min

    The Bond Market Is Trapping The Fed | Weekly Roundup

    Bond investors are testing whether policymakers can suppress yields without reigniting the inflation they claim to fear. This week, we unpack the political incentives, stubborn prices, and Fed’s looming credibility test currently testing markets. We explore the massive increase to Treasury buybacks, a possible one-and-done hike, slowing AI-led growth, if debasement trades are due for a pause, and the growing bipartisan opposition toward AI . Enjoy! TIMESTAMPS: 00:00 Intro 02:07 Can Bessent Beat The Bond Market? 06:56 Should The 10-Year Yield Be 5.8%? 11:01 The Inflation-Growth Trap 18:29 Ads…

  5. 2 Sep 2026 · 45 min

    Fiscal Dominance Is Breaking The 60/40 Portfolio | Matt Hougan & Bob Haber

    The 60/40 portfolio was built for an old regime, but what replaces bonds when fiscal dominance and currency debasement become structural? This week, Bitwise CIO Matt Hougan and Proficio CIO Bob Haber join the show to explore how hard assets fit into modern portfolio construction. We discuss how Bitcoin and gold, bond-market risk, fiscal dominance, precious metals, and the Fed’s shrinking influence come together to shape a new investing regime. Enjoy! TIMESTAMPS: 00:00 Intro 04:38 Is The 60/40 Portfolio Broken? 10:23 From QE To Fiscal Dominance 12:45 Is Bitcoin Digital Gold Again? 18:30…

About Forward Guidance

The laws of macro investing are being re-written, and investors who fail to adapt to the rapidly changing monetary environment will struggle to keep pace. Felix Jauvin interviews the brightest minds in finance about which asset classes they think will thrive in the financial future that they envision. Follow Felix: https://twitter.com/fejau_inc Follow Forward Guidance: https://twitter.com/ForwardGuidance Subscribe on YouTube: https://www.youtube.com/@ForwardGuidanceBW Follow Blockworks: https://twitter.com/Blockworks_ Forward Guidance Newsletter: https://blockworks.co/newsletter/forwardguidance Forward Guidance Telegram: https://t.me/+nSVVTQITWSdiYTIx

Forward Guidance is a English business podcast from Blockworks. Melo plays each episode straight from the publisher's own feed — no ads added, no account needed — and remembers where you stopped, in this browser only.

Publisher
Blockworks
Language
English
Category
Business
New episodes
Weekly
Typical length
52 min
Latest episode
4 Oct 2026
Feed
RSS — paste into any podcast app
Rights
384141 Blockworks 2021

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