Market Volatility, Nvidia Earnings & Investor Strategy | Futurum Equities Podcast Ep. 20 cover art

Market Volatility, Nvidia Earnings & Investor Strategy | Futurum Equities Podcast Ep. 20

Market Volatility, Nvidia Earnings & Investor Strategy | Futurum Equities Podcast Ep. 20

Listen for free

View show details

About this listen

In this episode of the Futurum Equities Podcast, Daniel Newman and Shay Boloor break down what current market volatility really signals for investors. They examine how Nvidia’s upcoming earnings could influence broader tech sentiment, how the Federal Reserve’s decisions are reshaping expectations, and where risk is building across the AI and semiconductor landscape.

Daniel and Shay also look at the relationship between crypto and equities, pointing out where momentum diverges and where investors need to rethink outdated strategies. They dig into rising AI demand, execution risks in the tech sector, portfolio adjustments, and the importance of patience when markets overreact.

The conversation closes with reflections on personal growth, discipline, and the mindset required to stay steady when markets move fast.

No reviews yet
In the spirit of reconciliation, Audible acknowledges the Traditional Custodians of country throughout Australia and their connections to land, sea and community. We pay our respect to their elders past and present and extend that respect to all Aboriginal and Torres Strait Islander peoples today.