Fred Hickey, editor of The High Tech Strategist, provides his unique take on the state of the technology sector, in this conversation with Tommy Thornton. Cutting through the valuations quandary, Fred questions the price people are paying for Apple, spells out the overseas regulatory threats for Facebook and Google, and offers a reminder that pioneers are the ones that can end up with arrows in their backs. Filmed December 21st, 2017 in New Hampshire.
In the second of his new flagship series, Grant Williams travels to Saint Barthélemy in the Caribbean for a conversation with the founder of Eclectica Asset Management, Hugh Hendry. In a revealing and at times deeply personal discussion, Hugh discusses the rise and fall of Eclectica and explains how his experiences reflect the problems facing the wider hedge fund industry. Hugh also offers his thoughts on the pitfalls of arrogance as well as the pressures that stem from being a free spirit in an increasingly constrained world.
Mark Cuban in Conversation with Kyle Bass - The Maverick Investor
Entrepreneur, Investor, Maverick. Mark Cuban arrives on Real Vision, in an incredible conversation with the equally legendary Kyle Bass, who finds out what makes the man from Shark Tank tick and his approach to investing, alongside some sharp insights on the future of AI, robotics and ICOs. Filmed on October 18, 2017, in Dallas.
Max Wolff, chief economist at The Phoenix Group, makes the case for betting on rising volatility. He explains the catalysts and lays out his trade in this interview with Justine Underhill. Filmed on May 17, 2018.
Tony Greer, founder of TG Macro, explains why he is betting against the GLD ETF despite being a long-term holder of physical gold. He also discusses his overall macro outlook, and explains he sees more upside for the dollar, in this interview with Justine Underhill. Filmed on August 15, 2018.
Michael Purves, chief global strategist and head of derivatives strategy at Weeden & Co., lays out his plan to profit from rising volatility. He explains why he sees the VIX rising and reveals the key levels to watch, in this interview with Justine Underhill. Filmed on June 14, 2018
Dr. Komal Sri-Kumar, president of Sri-Kumar Global Strategies, still likes buying 10-year Treasury bonds. Citing catalysts including the potential impact of trade tensions, he discusses why yields should fall by the end of the year, in this interview with Brian Price. Filmed on July 27, 2018.
Peter Boockvar, chief investment officer at Bleakley Advisory Group and editor of The Boock Report, has a contrarian view on emerging-market debt. In this interview with Justine Underhill, Peter reveals why he believes the sector is oversold and how to take advantage of the opportunity. Filmed on September 11, 2018.
Peter Boockvar, chief investment officer at Bleakley Advisory Group and editor of The Boock Report, has a plan for betting against European and Japanese sovereign bonds. He presents the catalysts, and lays out the trade, in this interview with Real Vision’s Alex Rosenberg. Filmed on July 30, 2018.
In this second part of a two-part piece, Richard Sylla, Professor Emeritus of Economics at New York University, shares his idiosyncratic view about the factors that led to the credit crisis. He also provides a historian’s perspective about the potential pre-crisis signs that investors might want to look out for. And he discusses the extent to which history has or has not prepared us to deal with the next crisis. Filmed on March 12, 2018 in New York.