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1-7-26 Markets Hit Highs as Complacency Builds | Before the Bell

The Real Investment Show Podcast

Release Date: 01/07/2026

1-30-26 Retirement Income When Markets Are Expensive show art 1-30-26 Retirement Income When Markets Are Expensive

The Real Investment Show Podcast

Markets may still enjoy short-term momentum, but long-term retirement planning must confront a different reality: elevated valuations, lower forward returns, and rising sequence-of-returns risk. Richard Rosso explains why retirees face a near-term tailwind in market returns—but potentially long-term secular stagnation that demands tighter portfolio guardrails. Drawing on research from Michael Kitces and Wade D. Pfau, we discuss why historically tested retirement income strategies matter more today than at any point in the last two decades. Rich breaks down: Why short-term market strength can...

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1-29-26 Market Risks Behind Powell’s “Nonrestrictive” Stance show art 1-29-26 Market Risks Behind Powell’s “Nonrestrictive” Stance

The Real Investment Show Podcast

The Federal Reserve is holding interest rates steady, keeping policy in a 3.5%–3.75% range.  Lance Roberts and Michael Lebowitz examine how markets are reacting to Chair Jerome Powell’s message, and break down what the Fed is signaling—and why it could fuel market volatility ahead. 0:00 - INTRO 0:19 - Mega Reports & Fed Fallout 4:31 - Markets Struggle after 7,000 9:33 - Inflation, Truflation, & Labor 14:14 - Chances of Rate Changes Higher or Lower? 16:44 - Current Growth Spurt is Unsustainable 19:10 - No Mention of QT/QE 21:10 - Citadel Securities; Risk-on Indicator 23:14 -...

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1-29-26 Markets Stall at 7,000: Breakout or Bull Trap? | Before the Bell show art 1-29-26 Markets Stall at 7,000: Breakout or Bull Trap? | Before the Bell

The Real Investment Show Podcast

Markets are testing the psychologically important 7,000 level—a major round-number threshold for investors. Momentum is turning back to a buy signal, and with no historical resistance above this level, a breakout could open the door toward the Fibonacci extension near 7,100. However, rising speculation and a sharp increase in margin debt signal growing leverage across markets—from equities to metals and miners. While this added leverage can push prices higher in the short term, it also raises downside risk if trades begin to unwind. With bullish trends intact but speculation elevated,...

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1-28-26 Q&A Wednesday, the YouTube Chatroom Free-for-all show art 1-28-26 Q&A Wednesday, the YouTube Chatroom Free-for-all

The Real Investment Show Podcast

Welcome to Q&A Wednesday: The YouTube Chat Free-for-All — our most interactive show of the week. Lance Roberts & Danny Ratliff answer real-time questions straight from the YouTube live chat. No scripts. No pre-selected topics. Just timely, unfiltered discussion on the issues investors are wrestling with right now. 0:00 - INTRO 0:19 - Major Mega Cap Earnings After the Bell Today 3:27 - Re-setting the Doomsday Clock 5:59 - Markets Set (Another) All-time High 11:31 - Metals as Assets - Where Are Retail Investors Piling In? 21:14 - Commodities are Just an Asset 22:33 - Dollar's Decline...

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1-28-26 Big Tech Drives Market Highs | Before the Bell show art 1-28-26 Big Tech Drives Market Highs | Before the Bell

The Real Investment Show Podcast

Markets finished Tuesday at fresh all-time highs as leadership rotated back into mega-cap stocks. After a strong run in small- and mid-caps, those areas are now short-term overbought and nearing sell signals, while the S&P 500 itself is triggering a buy signal at more favorable levels. Earnings expectations are elevated, and upside surprises from mega-cap technology are largely priced in. The market’s reaction will hinge less on reported results and more on forward guidance—particularly outlooks for data center and AI-driven capital expenditures. With futures higher this morning,...

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1-27-26 Work Sucks...or Does It? show art 1-27-26 Work Sucks...or Does It?

The Real Investment Show Podcast

Lance Roberts & Jonathan Penn take a hard look at how Millennials and Gen Z view work, career stability, and success in a rapidly changing economy. From corporate burnout and hustle culture to freelancing, side hustles, and remote work, the rules around employment are shifting fast. 0:00 - INTRO 0:20 - Baylor Hockey & Headphone Parties 3:28 - Fed Week preview 6:57 - Markets' Rally & Earnings Preview 12:55 - The Evolution of Work 15:48 - The Gig Job Economy 16:51 - The Importance of Job Security? 18:40 - Lance & Jon's First Jobs Stories 27:25 - Skill Sets for Success 30:25 -...

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1-27-26 Earnings Determine Market’s Next Move | Before the Bell show art 1-27-26 Earnings Determine Market’s Next Move | Before the Bell

The Real Investment Show Podcast

Markets have rallied for four straight sessions and are once again pressing toward all-time highs. With price action improving, markets are close to coming off a momentum sell signal—and if upside follow-through holds, that shift could occur as soon as today. A confirmed breakout would provide much-needed “wind beneath the wings” for investor confidence heading deeper into earnings season. Today’s focus turns to several mega-cap earnings reports, where recent pullbacks have created short-term trading opportunities. Apple reports this week following a notable selloff, leaving the stock...

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1-26-26 Bitcoin: Diversifier or Distraction - The Parker White Interview show art 1-26-26 Bitcoin: Diversifier or Distraction - The Parker White Interview

The Real Investment Show Podcast

Bitcoin and cryptocurrencies are once again at the center of investor debate—but for very different reasons than past cycles. Lance Roberts and special guest, DeFi Development Corp's COO, Parker White, examine what’s been happening beneath the surface of the crypto market, including the growing divide between older and younger Bitcoin cohorts and the increasing fractionalization of crypto ownership. Is Bitcoin’s volatility evolving in a way that allows it to function as a portfolio diversifier, especially when compared to traditional hedges, like gold? What is its potential role in an...

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1-23-26 The Hardest Part of Legacy Planning - Starting the Conversation show art 1-23-26 The Hardest Part of Legacy Planning - Starting the Conversation

The Real Investment Show Podcast

Most people think the hardest part of legacy planning is legal documents, estate taxes, or complex strategies. In reality, the most difficult part is much simpler—and more uncomfortable: starting the conversation. Richard Rosso and Jonathan McCarty discuss why these conversations are so difficult, why avoiding them creates greater risk for families...and offer a starting point solution. 0:00 INTRO 0:19 - Punxsutawny Ted Cruz & Texas Winters 1:47 - The Hardest Part About Legacy Planning 3:20 - When You Have Kids... 5:57 - The Basics of Health Directives 7:25 - The Five Wishes process...

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1-22-26 What Kevin Warsh Brings to the Fed show art 1-22-26 What Kevin Warsh Brings to the Fed

The Real Investment Show Podcast

Betting markets are increasingly pointing to Kevin Warsh as a potential successor to Jerome Powell, with Kevin Hassett expected to remain in his White House role under Donald Trump. Which begs the question: What would a Warsh-led Federal Reserve actually bring to markets? Lance Roberts & Michael Lebowitz explore the possibilities of a Warsh Fed: Would such likely be more tolerant of volatility, rely less on emergency interventions, and place greater emphasis on valuation, fundamentals, and disciplined policy rules? 0:00 INTRO 0:18 - Earnings, Economics, & Imminent Greenland Deal 2:48 -...

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More Episodes

Markets pushed to a new all-time high after successfully testing the 20-day moving average, with relative strength improving and momentum signals turning positive. However, following yesterday’s strong rally, futures are pointing slightly lower this morning.

The Dow is approaching the psychologically important 50,000 level, while ten-year Treasury yields are beginning to ease after a recent surge. That shift could signal early rotation from equity risk back toward bonds. Volatility remains a key indicator to watch—despite November’s spike, the VIX is holding near 15, reflecting elevated complacency.

Historically, extended periods of compressed volatility often precede increased market turbulence. While there is no immediate sign of stress, this environment argues for discipline. Risk management actions such as rebalancing, trimming extended positions, adding hedges, or modestly increasing cash exposure may help manage downside risk as complacency rises.
 
Hosted by RIA Chief Investment Strategist, Lance Roberts, CIO
Produced by Brent Clanton, Executive Producer
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