We break down the sweeping “Big Beautiful Bill” from tax cuts to AI deregulation and what it means for the economy. Plus, how AI is already doing 30–50% of work at major firms, what current interest rates mean for real estate, and why companies like Apple, Nvidia, and TSMC are pouring billions back into U.S. manufacturing. Is this the start of a true American industrial revival?
Read MoreFrom trade wars to Taiwan, China’s rise is shaking the global economy—but can it keep up the pace? We break down its economic model, the cracks beneath the surface, and what it all means for your portfolio.
Read MoreAmid rising market volatility and growing uncertainty, global trade tensions are back in focus. In this episode, we unpack how China’s economic behavior, shifting alliances, and Trump’s tariff strategy could be reshaping the postwar order. We’ll look closely at what’s driving the realignment and what it could mean for investors, policymakers, and global markets.
Read MoreThe Department of Government Efficiency (DOGE) and the national debt are front and center. But is efficiency even possible with $36.5 trillion on the books? With debt service now consuming a growing share of GDP, what does this mean for retirement planning and long-term financial security? In this episode, we break down the economic reality facing today's savers, why blind trust in government spending won’t cut it, and how smart investors can adapt to the shifting landscape. Plus, a look at AI’s growing role in financial planning and whether ETFs can replace high-yield checking.
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