
FTM 489: The Pivot Beneath The Panic
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38:19
In this episode of the Follow the Money podcast, Jerry Robinson analyzes the key market events and asset performance from the first half of 2025.
He highlights the sharp rebound in the S&P 500 and Nasdaq, Bitcoin’s surge past $100K, and the outperformance of gold miners, European ETFs, and Smartscore 11 stocks.
The episode also explores the weakening U.S. dollar and its impact on commodities and crypto.
In the second half, Jerry shares his cautiously optimistic outlook, discussing expected Fed rate cuts, sector rotations, and emerging opportunities in tech, financials, and hard assets. He also outlines key risks, including tariffs, geopolitical tensions, and valuation pressures in big tech.
He highlights the sharp rebound in the S&P 500 and Nasdaq, Bitcoin’s surge past $100K, and the outperformance of gold miners, European ETFs, and Smartscore 11 stocks.
The episode also explores the weakening U.S. dollar and its impact on commodities and crypto.
In the second half, Jerry shares his cautiously optimistic outlook, discussing expected Fed rate cuts, sector rotations, and emerging opportunities in tech, financials, and hard assets. He also outlines key risks, including tariffs, geopolitical tensions, and valuation pressures in big tech.
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