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Tariffs | Market Fragility | Mortgage Rate Spread to Treasuries | Analysts Estimates Are Pretty Accurate

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Manage episode 464624994 series 2426951
Content provided by Derek Moore. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by Derek Moore or their podcast platform partner. If you believe someone is using your copyrighted work without your permission, you can follow the process outlined here https://ppacc.player.fm/legal.

Derek Moore previews Palantir, Amazon, and Google earnings implied volatility expectations based on the option market. Plus, how currency movements may or may not mute new tariffs. Later, Derek answers a listener question on why mortgage rates (and bonds) have a spread between their rate and the 10 Year Treasury yield. Plus, digging into new data that shows analysts producing earnings estimates on the S&P 500 Index are pretty accurate as it turns out. Finally, what is market fragility and are we in a fragility period right now?

What is market fragility?

Analyst estimates vs actuals show analysts might know what they are doing

30-year mortgage rates vs the 10-year treasury

Why is there a spread above treasuries

What is reinvestment risk on mortgage bonds?

Tariffs impact on markets

How currency moves on the Canadian Dollar, Mexican Peso, and Chinese Yuan may blunt tariffs

Will tariffs cause more onshoring and manufacturing in the US?

Sentiment was tariffs would be used as a threat, then they’ll be short lived, so now what?

Mentioned in this Episode

Analysts are pretty good at predicting earnings from Sam Ro https://www.tker.co/p/analysts-earnings-estimates-accuracy

Derek Moore’s book Broken Pie Chart https://amzn.to/3S8ADNT

Jay Pestrichelli’s book Buy and Hedge https://amzn.to/3jQYgMt

Derek’s book on public speaking Effortless Public Speaking https://amzn.to/3hL1Mag

Contact Derek [email protected]

  continue reading

330 episodes

Artwork
iconShare
 
Manage episode 464624994 series 2426951
Content provided by Derek Moore. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by Derek Moore or their podcast platform partner. If you believe someone is using your copyrighted work without your permission, you can follow the process outlined here https://ppacc.player.fm/legal.

Derek Moore previews Palantir, Amazon, and Google earnings implied volatility expectations based on the option market. Plus, how currency movements may or may not mute new tariffs. Later, Derek answers a listener question on why mortgage rates (and bonds) have a spread between their rate and the 10 Year Treasury yield. Plus, digging into new data that shows analysts producing earnings estimates on the S&P 500 Index are pretty accurate as it turns out. Finally, what is market fragility and are we in a fragility period right now?

What is market fragility?

Analyst estimates vs actuals show analysts might know what they are doing

30-year mortgage rates vs the 10-year treasury

Why is there a spread above treasuries

What is reinvestment risk on mortgage bonds?

Tariffs impact on markets

How currency moves on the Canadian Dollar, Mexican Peso, and Chinese Yuan may blunt tariffs

Will tariffs cause more onshoring and manufacturing in the US?

Sentiment was tariffs would be used as a threat, then they’ll be short lived, so now what?

Mentioned in this Episode

Analysts are pretty good at predicting earnings from Sam Ro https://www.tker.co/p/analysts-earnings-estimates-accuracy

Derek Moore’s book Broken Pie Chart https://amzn.to/3S8ADNT

Jay Pestrichelli’s book Buy and Hedge https://amzn.to/3jQYgMt

Derek’s book on public speaking Effortless Public Speaking https://amzn.to/3hL1Mag

Contact Derek [email protected]

  continue reading

330 episodes

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