M1 finance is a newer investing platform with fractional shares and favors dividends. I give an update on a portfolio that has used it for over a year. This portfolio follows a dividend investing strategy that is a variation of dividend growth investing. I will be continually updating this channel with videos that track this portfolio through the future market conditions.
In this episode I give a portfolio update. Confront a common dividend misconception. And answer questions from user comments on the previous video.
In this episode I go over portfolio performance, why I don't buy gaming stocks, and give my take on current news items.
This week I highlight what I think are the three biggest reasons new investors lose money in the stock market. I also do a quick portfolio overview, check the news, and answer questions and hate mail.
The art board is back! In this video I give a an update on the dividend growth portfolio. I show February's Performance. And go over what I believe is the most attainable way of building wealth.
In this episode I give an update of this week's performance. Talk about recent news, Martin Shkreli and Elizabeth Holmes, and answer some of your questions from previous videos. As always thanks for tuning in and for sharing this content with others.
In this episode I give an update on my portfolio performance. I take a look at Elizabeth Warrens blog post on breaking up big tech. I talk about Boeing's struggles. And I answer some of your questions.
In this episode I explain why I choose dividend growth investing over other popular forms of investing. I also comment on the current feud between Spotify and Apple.
In this episode I catch up with you for the week with a performance summary. Respond to some questions with advice on where I started my research into investing. Give a short update on the Spotify vs Apple news. And I answer some questions from the previous week.
There's no doubt you have been hearing about a yield curve inversion. I talk about that, as well as the two other big indicators of a recession. In the second half I talk about how disappointed I am in Boeing on multiple fronts. From the way they have designed their new "safety" features, to the way they have handled this crisis, to the way they are selling their product.
In this episode I give a quarterly performance update comparing my portfolio to the S&P 500. I address common mistakes in comparing performance to a benchmark. I give a brief update on Boeing, talk about the new Apple Card and how it builds upon Apple's larger strategy, and answer some questions.
In this episode I illustrate the story of how I was able to gain a 300k net worth before the age of 28. No windfalls or inhairantecs, no hitting it big with a startup company or getting lucky with bitcoin. The biggest contributors is avoiding debt, having savings, and taking advantage of small opportunities when they present themselves.
In this episode I review what I think are the best consumer dividend companies today. I take a look at dividends paid in May. And give an update on Boeing, Apple, and Spotify.
In this episode we take a look at each real estate holding. I respond to Disney's streaming service Disney+, and Uber's IPO, as well as answer some questions about the previous Dave Ramsey Video.
In this half hour caffeine binge rant. I talk about waking up to being $500 in the red for the day. I talk about the "retail apocalypse" and the mentality of a dividend growth investor. I also talk about the news, some Boeing and Netflix as well as answer your questions from the previous video.
In this episode I review my financial holdings, talk about dividend ETF's, go through the M1 finance AMA, read some news on Venmo, and answer some questions.
In this episode I go over the 3 ways to increase dividend income. I talk about Teslas "autonomy day". Give an update on Boeing's damage control and Netflix's attempt to fend off competitors.
In this episode I give a breakdown of each of my industrial holdings, what my opinion on them is currently and how I feel about their future.
In this episode I talk about what I think is the most difficult and discouraging part about dividend investing. I talk about changes in my portfolio with Disney and UPS. I talk about my thoughts on a REIT cutting it's dividend. I give an update on Boeing with the CEO talking to investors. I keep up with the latest drama with Elizabeth Holmes as she goes to first court appearance. And I share my thoughts on Kevin Hart talking with Joe Rogan.
It's time for the monthly update on income this portfolio is producing. The total dividends paid for April is in. I answer a variety of different questions from emails and comments around investing strategies, brokerages, increasing day job income, and a variety of different ones. I also comment on Charlie Munger's reaction to the Boeing incident and a Podcast by ABC about Elizabeth Holmes.
AT&T and Verizon are two of the biggest Telecom companies in the world and both pay substantial dividends. I review both of these holdings and give my take about them as an investment. I also comment on the Berkshire and Occidental acquisition of Anadarko and why I think this situation playing out clearly debunks one of the most pervasive myths about dividends. I also explain why the trump tariffs, in my opinion, are no reason to fret about the market.
In this episode I talk about the most important thing in investing. We give an update on the Trump tariffs. Boeing released a software fix for their 737 Max planes. 3M continues to get crushed and their company stock is downgraded by JP Morgan analysts. And I answer a few questions from viewers.
In this episode, I give a quick portfolio update. I talk about different portfolios for people with different personalities and different amounts of money. I made one starter portfolio for people that want to pick individual stocks and one for people who would rather not pick individual stocks. I answer viewers questions and talk about starting investing later in life. And I give my opinion on the ending of game of thrones and how I personally would have wrote the ending.
In this episode the story is told of going through the recession with three different portfolio allocations. One with the majority of bonds, one with a 60/40 stock bond mix. And one that is pure equities. These three different stories may explain why the average investor only made 1.9%/yr over the past 20 years. I talk about the Huawei ban and explore the ways this company has exploded to be the global leader in 5g technology. And I answer some questions and respond to some criticisms.
In this video we look at how weeks like this week can help us realize our risk tolerance. I go through emails and answer some users questions.
In this episode I give a monthly portfolio update, I take a look at Costco and some of the characteristics of its business that sets it apart from others, and I talk about the charity lunch with Warren Buffett.
In this episode I give a quick portfolio update. I tell a story about gambling on my cruise and we take a more in depth look at what really separates investing from gambling. We also take a look at the UTX raytheon merger and I give my opinion on reverse mortgages.
In this episode I reveal my Roth IRA. We talk about retirement accounts in general and what to watch out for with 401k accounts. I talk about news with Beyond Meat, Boeing, and Elizabeth Holmes. And I answer some viewers questions.
On today's show, Abbvie is purchasing Allergan. Boeing is attempting to recover and move forward from two plane crashes. Bernie Sanders is proposing a student debt relief plan that would be funded through a tax on stock trades. We explore these three subjects.
On today's show, I explain the reasons I chose dividend growth investing and a focus on income over other popular styles of investing like growth or value. I also spend about half the time answering viewers questions.
On today's show I respond to critics of dividend growth investing and critics in general.
Today's episode I give an update on the dividend portfolio. We look at the pros and cons of low interest rates. I give an update on Boeing and the fallout that has occurred, and I answer some of your questions.
In this episode we explore three questions. What happens to dividend income during recessions? How close are we to a recession? What sectors do well during a recession?
In this episode we explore headline investing, give an update on monthly income and portfolio performance, and respond to viewers questions?
In this episode I give a portfolio update I talk about the two biggest indicators of a recession. We discuss the new accusations against GE and I answer a lot of viewers questions.
In this episode I give an update on this weeks elevation in the trade war. We take a look at Disney's new original Star Wars Disney+ series. I share some of the content I have watched this week. And we take a look at a few of the viewers questions.
In this episode we take a look at M1 Spend. Costco expands to china with overwhelming response. Phillip Morris and Altria are in talks to merge. And of course we answer comments and questions.
In this episode we examine some of the biggest traps in dividend investing and how to avoid them. I also answer questions on budgeting, youtube, and other subjects.
In this episode I talk about how I make money. We discuss Michael Burry saying index funds are a bubble, the fed raising interest rates, and answer community questions.
In this episode we take a look at the "outbreak" of vaping illnesses, the Apple Event and Apple TV+, and AT&T's new situation with an activist investor.
In this episode we examine the dividend irrelevance theory and the many assumptions it relies on that do not exist in real markets.
In this episode we examine the importance of multiple income streams. We take a look at the Federal Rate being lowered, the Repo Market, and an ex-facebook employee lambasting the company. We also of course answer your questions and comments.
In this episode we review companies I plan on selling. We talk about WeWork and their botched IPO. And we answer some community questions.
In this episode we look at the companies I ended up selling. We talk about the leaked audio from Facebook meetings. We discuss major brokerages going free. And I respond to community questions on automation.
In this episode we talk about the three different groups of people (poor, "rich", wealthy) use their money. We talk about how politics may be damaging to your health, Robinhood cash management, and Blizzard is between a rock and a hard place.
The Fed's balance sheet is exploding, but it's "not QE". Steve Eisman (Steve Carell on the Big Short) tells about the biggest problems in the market. And I go through the best method of buying dividend stocks in a dip.
WeWork, the "tech" company is bailed out by SoftBank. Boeing has explosive internal conversations released. And JNJ can't catch a break.
Blizzcon 2019 is starting. Companies deal with balancing ideals and profits. And I answer questions on dealing with debt while investing.
Boeing CEO faces an angry congress. AT&T releases new streaming service. And I talk about getting to $65,000 portfolio value.
Robinhood users make the news after exploiting an issue to use "infinite leverage". Boeing Chairman Dave Calhoun is interviewed about the 737 Max. And I talk about why I don't wait until a recession to start investing.
I respond to someones email stating that I will be a seller during the next down turn. Disney's streaming service already has 10 million subscribers. And we take a look at your biggest questions of the week.
Reed Hastings, CEO of Netflix is asked about Disney+. We look at the effects of financial literacy and income/net worth. And I'm asked about how to raise kids that are interested in finance.
We take a look at Tesla's new truck, and how it unavailing was not so "botched".
Why you should focus on dividends over capital gains. Plus we get to look at the trade war, peoples opinions on the Tesla CyberTruck looks, and I answer lots of questions.
AT&T is one of the biggest and oldest dividend paying stocks in the world. We take a look at how it's been mismanaged over the past 10 years and where it stands now. Peloton loses over 10% value in a single day due to a 30 second commercial, and I answer questions from viewers.
A look back on two years of dividend investing and if i'm accomplishing my goals. President Trump makes a stage 1 deal with China. Aramco Oil stock goes up 10%. And Robinhood announces fractional shares.
Ray Dalio, Jeffrey Gundlach, Warren Buffett, and Howard Marks all have something in common. They have strong opinion on market predictions. We're going to take a look at their thoughts on the subject and answer the question: Is listening to future economic predictions beneficial to investors?
In this episode we take a look at Warren Buffett's growing cash pile, the stock market hitting all-time highs, and the CEO of Boeing being fired. I also rant about starting to invest.
In episode 63 things heat up with Iran. Carlos Ghosn, the former Nissan Chairman decides to skip bail and head to Lebanon. NerdWallet releases a pointless investor survey. And I talk about my financial goals for 2020.
Iran and the US back off from conflict. Carlos Ghosn gives his side of the story. I receive record dividend payments in December. And we talk about tracking progress with investing.
I think it's about time we talk about debt. Debt can be used to your advantage or it can be one of the most financially destructive forces to exist. I take a look at our debt situation in the US and specifically our viewership and share my thoughts on it.
A market that only goes one direction has hidden dangers. I explore the problem with this bull market. We also talk about Boeing's woes, Visa's acquisition of Plaid, PayPal's acquisition of Honey. And more questions about debt.
Ray Dalio says cash is trash. Corona Virus spreads to the US. I ruin Tommy's dream of buying a Tesla. And we talk about the value brick and mortar brokerages offer.
The Coronavirus continues to spread. Boeing takes on big debt. MoviePass is finally over. And we look at investing using Fundrise.
Tesla stock has a historic rise. Disney has 26.5 million subscribers. Jack wants some input on what to look for in jobs.
In this episode we take a look at two different aspects of researching a company. Qualitative research, and quantitative research. I go through an example of each one. We also take a look at the end of the impeachment, new jobs report, and thousands of new investors buying Tesla stock.
Simon Property purchases more malls. Amazon is upset it lost the JEDI contract. I clarify my views on technical analysis. And we talk about how to achieve financial independence.
Real Estate makes up 20% of my portfolio, we're going to review it. The average American can't come up with $400 in an emergency. Tesla gets a bull case of $1,200 a share. And we talk about the threat of automation.
The Dow dropped over 3% on Monday. Steve Eisman is back explaining how his short position on Tesla turned out. And we take a look at the top 5 companies I have lost the most money in.
What is the biggest threat in the stock market? We discuss here. Disney CEO Bob Iger steps down. And M1 reaches 1 billion in assets under management. We also talk about what the difference between people who stay invested and those who sell.
Jay Powell lowers interest rates by half a percent. Robinhood has platform wide outages during one of the biggest trading days ever. And we take a look at three stocks i'm buying over the past week.
Jeffrey Gundlach warns about future market risks. Howard Marks explains why he doesn't think the market is necessarily undervalued. And we take a look at the my strategy going forward in a declining market.
The Bull Market has ended. Stocks are in free fall. Oil is having a price war. And we have one of the first big dividend companies to cut their dividends.
The Fed drops interest rates to zero and employs quantitative easing. Big banks halt buybacks in order to preserve capital. Every event with groups of people is cancelled. And years of gains are wiped away from the stock market.
The economy is in a standstill. Stores are closing. People are working from home. The stock market is down 30% from highs. We discuss the closing of the economy and the path going forward.
Boeing cuts it's dividend. Senator Burr sells stock before the downturn. And the rich are buying.
The US had over 3 million new unemployment claims. The stock market surges up. And we take a look at the stimulus package to see who benefits.
I'm selling... Bonds. Part of investing is balancing risk and reward. Right now bonds have spiked in value while equities are down nearly 30%. I'm going to be incrementally selling out of bonds into equities over the next two months (assuming the market continues it's downward trend). I discuss why i'm doing this.
Goldman says dividends will be reduced by 25% in 2020. 6 Million more people file for unemployment. And NRZ cuts their dividend by 90%.
In this video I go over 10 companies that will continue to pay dividends even in the scenario of a long shutdown. We also look at Bill Gates comments on opening up the economy. And I respond to a bunch of comments and questions.
Despite hearing constant terrible economic news, the stock market continues it's climb. We discuss why investors are buying companies during this recession.
The business earnings are coming out much lower, the health outlook improves, and the Fed shows its willingness to use unlimited power. We discuss this and much more in this episode.
In this special episode I sit down with Brian Barnes, the CEO and Founder of M1 Finance. We discuss everything from the trends in the broker industry to the challenges of the shutdown to specific broker features and future plans.
In this episode we discuss the role that stock buybacks play in the market and the potential problems they cause. We also take a look at the portfolio and answer emails.
We explore three of the reasons investors lose the most money. Disney dividend safety score is downgraded. AT&T CEO is steppign down. Kevin O'leary explains how many small businesses are going bankrupt. Kyle Bass tells what oil companies to invest in. And we take a look at emails and comments.
Each state is making plans to re-open their economy. Elon Musk is losing it on twitter. AMC is upset at Universal for their Trolls movie release. And we answer questions like why it's important to know what you own.
In this episode we go through the basics of picking dividend stocks to invest in.
In this episode we look at a half million dollar portfolio and how it's performed during the downturn. We also discuss the almost 5 trillion dollars the government has loaned just this year, the FED printing money and increasing it's balance sheet, and much more.
Jerome Powell gives a grim warning about the economic recovery. Experts are predicting a "shwoosh" shaped recovery. And we discuss the possibility of endless debt from the government.
Joe Rogan leaves to Spotify in an exclusive deal. The senate debates the new stimulus bill. More people regret trying to time the market. And we discuss if there's too many billionaires.
The economy and the stock market are telling a different story. I go through three different scenerios and explain why in each case I don't plan on selling.
Twitter and President Trump battle each other. AT&T releases their new streaming service HBO Max. My dividend portfolio is back in the green. And we take a look at some of the reasons the stock market isn't following the economy.
The jobs report crushes expectations. The stock market rockets higher. We look at the top ten holdings of Robinhood users. And I look at your questions during the previous week.
Jerome Powell Gives an economic update. Robinhood investors outperform billionaires. Dave Portnoy calls Warren Buffett an idiot. And I set my new goal for my portfolio, a million dollars.
Hundreds of thousands of Robinhood investors are buying Hertz and the big question is why. We try to answer that question in this episode. We also look at the risks of reopening the economy and answer emails on investing with religious restrictions.
Apple closes retail stores in 4 states. Hertz cancels its plan to sell worthless stock. A Robinhood investor tragically takes his life after seeing a negative balance. Wirecard is exposed for massive fraud. And we discuss the amount of dividend cuts in my portfolio.
Many people are afraid that US banks will suffer the same fate in this recession as they did in the previous. We discuss this possibility in this episode.
Warren Buffett finally makes a buy during, and it's a dividend stock. More specifically he is purchasing a large portion of the assets from Dominion Energy. I discuss this deal and why I don't believe it worked out in the benefit of Dominion shareholders. We also look at the possibility of the US banning TikTok, and the threat of fintech companies to US banks.
Is the most profitable investment strategy to buy companies that don't make much profit? The biggest winners of 2020 have been mostly companies that make very little in profit.These companies share price continue to soar and shareholders continue to celebrate. We'll discuss these stock and the story behind them. We'll also be looking at my biggest buy over the past few weeks and we have an update on the TikTok drama.
Trying to find the best value tech stocks is a difficult tasks. We look at how i'm growing the tech portion of my portfolio. Twitter also gets hacked with high profile accounts being taken over. And is apple worth 1.7 trillion dollars? One viewer doesn't think so, we take a look at his email.
Is Bill Ackman shorting my portfolio? We take look at the high yield companies he is short. Am I giving up on dividend investing? Tesla reports another profitable quarter with one big caveat. And Microsoft continues to gain market share and compete against Slack.
Apple crushes earnings. Apple announces stock split of 4 to 1. Big tech goes before clueless Congress. And we talk about how to value companies.
Microsoft is trying to buy TikTok. Warren Buffett keeps buying Bank of America. And Disney reports it's quarterly earnings and subscriber growth. We discuss all of this plus a portfolio update of my dividend portfolio and respond to questions and emails from previous episodes.
Epic Games has declared total war on Apple. After intentionally circumventing apples in app payments system with Fortnite, Apple responded by removing the app from the App Store. Epic Games used this to both sue apple and launch a social media campaign against apple. The war has started, the big question is, who will win?
Streaming stocks are some of the most misunderstood stocks by investors. We discuss their potential and where I think the biggest opportunities lie over the future.
Apple soars above 2 trillion dollars. The Fortine and Apple saga continues on. Tesla grows it's valuation to join a club of elite stocks. Warren Buffett's buying gold stocks. And we give a full portfolio update as well as respond to comments on the previous episode.
Warren Buffet spends 6 billion dollars on 5 companies in Japan. Amazon releases a new competitor to the Apple Watch and Fitbit. AT&T is exploring the sale of Direct TV.
Thursday evening the stock market unexpectedly had a steep selloff. We discuss the potential causes of this and why I think it's momentum investing. We also look at why Warren Buffett is buying STORE Capital. And, is the video streaming market already saturated?
We discuss Nikola. We also discuss Warren Buffett buying Snowflake and Apple countersing Epic Games.
Nikola Fraud Fallout intensifies. Apple releases new products and service bundle. Disney releases Mandalorian 2. Store Capital raises dividend. And we respond to comments on the previous episode.
Microsoft makes another major push into gaming by buying Bethesda. Apple is under pressure from multiple companies forming a "Coalition of App Fairness" to reform Apple's app policies.
We look at my top 5 dividend-paying stocks. We also look at Disney firing 28 thousand employees. Amazon releasing a bunch of new devices and a cloud gaming service. The possibility of a new stimulus package.
2020 has been chaotic. Trump has tested positive for coronavirus. Jobs gains are slowing. Elections are near. And I'm going to explain in this episode why I'm investing like crazy anyway.
Activist investor Dan Loeb is urging Disney to cancel their dividend forever and to redirect that money back into their streaming service. This would be a change in Disney's long-standing dividend policy and would be a different direction for the company.
Tech stocks now make up 40% of the SP500. This has surpassed how large tech was during the dot-com bubble peak. More than ever there is debate on how to accurately value tech stocks. In this episode, we look at why it's so difficult to accurately value tech stocks and a better way to view them.
In this episode, we are going to look at my best performing dividend stock over the past two years since the start of my portfolio. We also have a tragic story of someone who spent too much time doing risky options. And I answer questions about why Tech as a sector doesn't make sense.
GM is fighting back against Tesla. JP Morgan is fighting back against Square. Do these old companies have what it takes to fight their new leaner tech rivals? We'll discuss in this episode.
The stock market plunged 3% Today. We talk about what caused this plunge and if we should invest in this environment. I also explain what I think will happen with elections.
Joe Biden wins the Presidential Election. We discuss the impact this will likely have on our investments and how to grow wealth with so much focus on politics. We look at the market and whether or not we are in the end of a bull run or the early stages. And we review every holding in my portfolio.
Pfizer announces their vaccine is effective and safe - huge news that the market is quick to react to. The Dow Jones benefits while the Nasdaq falls. We discuss this and much more in this episode.
Disney blows away analyst expectations with 73 million subscribers for Disney+. In this episode we go over why Disney is both a pandemic play and a recovery play. We also discuss the Pfizer stock sale, what companies I'm buying, and my thoughts overall on the economic recovery.
In this episode, we discuss the big problem facing investors in the stock market.
In this episode we review the top 5 high yielding dividend stocks in the market today. I also take some time to answer comments and questions at the end of the video.
In this episode, we talk about the risks and bull case of my new $10,000 stock purchase.
Movie theaters take another hit as Warner Media announces all movies will be available either direct streaming or in theaters. Is this the final end for theaters, or will they pull through?
How much passive income did I make in 2020? How many subscribers did I gain in 2020? I'll show you in this episode. We also discuss Disney's big stock surge and the blowback against warnermedia.
Want to know my opinion on the most overvalued stocks? We discuss it here. We also look at the news of big banks passing another stress test and doing share buybacks. Apple is rumored to be working on a self-driving electric car. And I give an update on my biggest purchases over the past week.
Cathie Wood and ARK Invest had a phenomenal year. Here's my warning to investors.
Investors' appetite for risk has grown substantially over the past. We discuss why this is the case and how long it can go on.
Everyone wants to get rich - we discuss the quickest ways to do it as instructed by the new wave of investors in the market.
Reddit has taken on Wall Street and the internet by storm.
Two weeks have passed since the start of the GameStop drama. Today we look at the fallout.
Whether it's Dogecoin or Gamestop, one thing is for sure - investors are taking on more and more speculation and risk. We discuss whether or not we're in a stock market bubble and what to do if we are.
Famed investors Michael Burry and Cathie Wood have both given grim warnings about the future. In this episode, we discuss those warnings and what we can do with our money to prepare.
Subscription business models are superior to other business models in almost every way. Every company is shifting towards this business model but few have the global opportunities in the way this stock does.
After months of warnings, the bubble of speculative stocks has popped. Valuations are coming down, speculative businesses are being sold off and investors are racing to safer companies with good cash flows. I explain in this video why this bubble popping does not concern me.
From total noob to expert, we discuss the different ways to spend your stimulus.
Brian Barnes, the CEO of M1 Finance answers questions about fintech's growth, gamestop, M1 Finance feature set, and much more!
ARK invest released their uber bullish $3,000 price target on Tesla. I give perspective on what Tesla would need to accomplish in order to justify that price.
We review 5 undervalued stocks in an overvalued market. We also look at the big news of Microsoft potentially buying Discord, the tragic fate of the CEO of Texas Roadhouse, and I respond to comments on the previous video where I criticized ARK invests analysis on Tesla.
I had a good run, but I'm done with dividend investing. Here's why.
In this episode we look at my three biggest holdings, JP Morgan, Apple, and Disney, and whether or not I will continue to buy these companies, hold them, or sell them.
We discuss my next investment in this video.
In this episode, I review what I think makes a company high quality or low quality. We discuss the pros and cons of financial YouTubers sharing their stock picks and portfolios. And I respond to an email of someone who turned $237 to $30,000 in Dogecoin.
In this episode, I discuss why Media and Code are two industries that create so much wealth. We also discuss Microsoft's earnings.
Two months ago Michael Burry warned us about the possibility of hyperinflation. Now as every day goes by we see more and more signs that inflation is upon us. We discuss this reality, the evidence for inflation, and how to deal with it as investors.
The investing strategy of ignoring valuation and buying any stock that's hyped on social media seems to be coming to an end. We have observed over the past 3 months the destruction of YouTube hype stocks.
Everyone knows about Apple and the qualities of the company, but few understand how quickly this company is actually growing. In this episode, we dive into some lesser-acknowledged parts of Apple's business to see how powerful of a moat they have and how quickly they're growing.
The Nasdaq is dropping. Inflation is rising. The economy is opening. And the comment logic is to sell out of tech. I don't plan to do that and in this episode I explain why.
Disney sells off after their earnings report, missing subscriber gains. Bears are writing articles saying it's over for Disney. Elon Musk is no longer friends with the bitcoin community as he reverses his decision to accept the crypto as a payment method.
AT&T and Discovery just announced a huge deal. I have responded to this deal by selling 100% of my shares of AT&T. In this video I explain why.
Michael Burry Shorts Tesla, I purchase a new holding in the Passive Income account, and we hear how to make 100k a year from a TikTok pro.
Bill Ackman is predicting that inflation is not temporary and the Fed will be forced to increase interest rates. What are the implications of this, and how do we protect our portfolios? We discuss in this episode.
Ford revealed the new F-150 Lightening. Their first-ever electric truck. We discuss the design of the new truck and whether or not it will be successful.
Finding undervalued companies is tough, and it's not enough. In this video we try to identify 5 undervalued companies that are also world-class businesses that will compound for the next decade.
AMC is a troubled company that's heavily indebted. It has few options of how to survive with its lowered cash flows and mounting debt payments. In this episode we discuss the story of AMC and how this company may avoid bankruptcy.
I just purchased an additional $10,000 of Apple Stock. Bringing my total position size to over $40,000. I explain why in this episode.
Big tech stocks may be in trouble as Congress proposes a slew of new bills aimed at curbing their growth. Amazon is the primary target as a new bill is proposed to prevent them from competing on their own platform with other sellers.
More prediction of high inflation by notable figures. This time Paul Tudor tells us to bet heavily on the inflation trade. But is this the best investing strategy? We discuss in this episode.
There's more demand than ever for high quality experiential real estate. In this video I talk about a new stock i'm buying that will pay high cash flow and provide me with ownership of iconic and unique real estate properties that I think will continue to see capital appreciation.
Peter Thiel, the founder of Paypal and Palantir has had documents reveal that he turned less than $2,000 into over 5 billion, all within a Roth IRA. We discuss how this is possible. We also look at an interview with Buffett and Munger and discuss why dividend investing is so addictive.
Apple now spends over 20 billion per year on research and development. This incredible amount of money goes into projects that most of which are not revealed. In this episode we look at some insights into what Apple is developing and how it could affect the future of the company.
Every day more scams are being promoted on social media sites like TikTok and YouTube. Each time these occur it further damages the reputation of the platforms and may cause even bigger issues.
The stock market is very expensive on an earnings basis compared to historical norms. Inflation is running hot and may continue at least for the rest of the year, real estate prices are at an all time high. What do we do with our money in this situation? I show what I'm doing with mine.
The news media has reported about many different risks the stock market is currently facing. Today I go over what I think are the two biggest, and what I plan to do about it with my portfolio.
Everyone has the dream of making money without working for it. For many people that dream becomes reality when they build their passive income over time through stocks or real estate. In this video I go over why I think passive income is so important and how I think everyone can build it.
In this episode we discuss the biggest risk and challenge companies face during their earnings report, we also discuss a tone deaf moment for Jeff Bezos, and we go over what companies I own that are "irresponsible".
Trevor Milton of Nikola is being charged with lying to investor...
Apple, Microsoft, VICI, and other top dividend stocks just had their earnings report. I give my reactions to their report as well as we discuss Scarlett Johannson suing Disney and the booming trend of buy now pay later.
The real estate dividend stock VICI announced it's buying MGM Growth, the biggest owner of real estate on the Vegas Strip. We discuss the deal in this episode.
I have built a $300,000 stock portfolio. In this episode, we go over each and every holding and what my current thoughts on them are.
In this episode, we discuss the ways investors are destroying their lives by falling into the various traps around us.
Disney continues to rapidly gain subscribers on Disney+. Michael Burry is betting against ARK Invest. Cathie Wood defends her fund, claiming it's not a bubble, and big tech continues to consolidate the entertainment industry.
The stock market is up 20% year to date and 30% over the past trailing year, and despite that, I'm still buying today. In this video I explain why.
Big Tech has grown big and powerful using software, but how well does that translate into the real world?
The S&P500 climbs to a higher and higher price to earnings ratios and price to sales ratios. While this is happening I explain why I'm not waiting for a stock market crash to invest.
5 Companies make up around half my total dividend income. In this episode we discuss each of these stocks and my current thoughts on them.
Dividend yields have fallen to record lows. I explain why and how I'm investing in this situation.
Apple and Epic case verdict is in. Vici is diluting shareholders. Facebook is making glasses.
The Evergrande sell off has started. How long will it last?
00:00 Intro 04:38 JP Morgan Quarterly Report 09:28 Netflix Quarterly Report 15:04 Facebook Quarterly Report 18:11 Visa Quarterly Report
00:00 Intro 01:53 Qualtrim Insights 07:32 Apple Stock 12:15 Costco Stock 19:58 Viral Clip
00:00 Intro 01:28 Facebook 06:44 UPS 08:31 Jet Blue 09:44 Microsoft 12:04 Google 14:05 Visa 15:11 Spotify 16:21 Twilio 18:09 Shopify 20:18 Apple 20:43 Amazon 22:07 Starbucks 22:25 Abbvie
On Episode 194 we discuss the impact of social media and how it may impact investors' decisions.
On Episode 195 we do analysis on 4 different dividend stocks and an update on Disney.
On Episode 196 we discuss the impact of social media and how it may impact investors' decisions.
On Episode 197 we discuss changes to my portfolio management strategy, Disney earnings, YouTube removing the dislike count, and Zillow's embarrassing failure into home flipping.
On Episode 198 we discuss why inflation is going to get worse over time, not better. And we determine what's best to do with our portfolios.
On Episode 199 we discuss why i'm selling two stocks and we also discuss a leaked report that Apple is making progress on the Apple Car.
In episode 200 we discuss Biden picking Jerome Powell for a second term and the effects this will have on the market.
In episode 201 we discuss the new variant and what it means for the markets.
In episode 202 we discuss my plans for 2022.
In episode 203 we do analysis on 3 of the top dividend-paying financial stocks.
In episode 204 we look at 3 stocks that I'm buying while they dip.
In episode 205 we discuss the psychology of the market and how quickly market sentiment can change.
In episode 206, we discuss the best company in the world and why it's one of my top investments.
In episode 207, we discuss ongoing news of inflation and how I invest during it.
In episode 208, we discuss the fed increasing interest rates and me selling one holding in my portfolio.
In episode 209, we discuss inflation and the impact on my holdings. We also take a look at my interview with the VICI CEO and recent drama with Elizabeth Warren and Nancy Pelosi.
In episode 210, we look at an update of Trevor Milton's trial and how the entire Nikola company is moving against him.
In episode 211, we discuss ARK invest's biggest problem.
In episode 212, we discuss Google's effort to dominate the global taxi network.
In episode 213, we discuss the specific reasons I believe restaurant stocks will have strong earnings next year.
In episode 214, I discuss the current rotation out of tech, which stock I'm buying, and Elizabeth Holmes verdict.
In episode 215, we discuss the incredible investing performance of Terry Smith.
In episode 216, we discuss the breaking news that Microsoft has agreed to buy Activision Blizzard for 68 billion dollars.
In episode 217, we discuss the potential for a massive market pullback.
In episode 218, we discuss the psychology of investing during a downturn.
In episode 219, we discuss the new company added to my portfolio and why I bought 25k worth of the stock.
In episode 220, we discuss the many stocks including Facebook that have fallen after earnings.
In episode 221 we discuss market pessimism, Matrix creators suing Warner Bros, Peloton being purchased by big tech, and the controversy Spotify has found themself in.
In episode 222 we discuss the explosive growth of Disney+ subscribers and how it stacks up against Netflix.
In episode 223 we discuss the impact of bad news and how to make money from it.
In episode 224 we discuss Cathie Wood's latest interview and her assertion that she represents innovation.
In episode 225 we discuss 4 different dividend companies.
In episode 226 we discuss the ongoing market crash and the options available to investors.
In episode 227 we discuss investing in Google, Disney, and JP Morgan.
In episode 228 we discuss the upcoming recession and how I plan on investing through it.
In episode 229 we discuss the amazing business strategy of AMC and how Adam Aaron may be the next Warren Buffett.
In episode 230 we discuss why inflation is more likely to gown than up.
In episode 231 we discuss the most important and fundamental principles of building wealth through the cash flows of 3 different households.
In episode 232 we discuss why I just bought into this brand new stock to the Passive Income account.
In episode 233 we discuss Apple's master plan into becoming more like Microsoft.
In episode 234 we discuss Elon's master plan in buying Twitter and Starbucks suspending their buyback.
In episode 235 we discuss how the fed is chsnging the market.
In episode 236 we discuss when we should buy a stock.
In episode 237 we discuss Elon's attempts to buy Twitter. Disney getting mixed in controversy, the NFT bubble popping, and Apple stores being unionized.
In episode 238 we discuss the four types of stocks that everyone owns.
In episode 239 we discuss the ongoing popping of the content bubble.
In episode 240 we discuss how I view losing $50,000 in only a couple months.
In episode 241 we share the story of the neighbor that wants your home.
In episode 243 we talk about whether or not you should buy the dip.
In episode 244 we discuss Walmart and Home Depot's earnings report.
In episode 244 we discuss the future state of the economy and the stock market.
In this episode we discuss me selling a major portion of one of my largest holdings. We also discuss Target guiding earnings lower and Apple's new WWDC yesterday.
In this episode, we discuss the record inflation numbers and how rising fuel costs are hurting the stock market. 00:00 Intro 02:37 Inflation and Gas Prices 09:10 Everyone is wrong 16:50 FTX Sponsorship 18:10 Economic predictions 20:56 VICI update
In this episode, we discuss the record inflation numbers and how rising fuel costs are hurting the stock market. 00:00 Intro 01:17 Dividend Portfolio Update 06:26 Bitcoin Crash 13:20 President Biden Writes Oil Companies 18:51 FTX Sponsorship 20:19 Interest Rate Hike .75%
In this episode, we discuss the record inflation numbers and how rising fuel costs are hurting the stock market. 00:00 Intro 06:35 Target Stock Analysis 13:13 Starbucks Stock Analysis 18:07 JP Morgan Stock Analysis 21:25 FTX Sponsorship 22:58 T. Rowe Price Stock Analysis 27:14 VICI Stock Analysis
In this episode, we discuss all the different ways investors try to time the stock market and the downfalls of doing so.
00:00 Introduction 01:53 Economic Update 05:23 Sunny Balwani Found Guilty on all accounts 10:16 The Truth Behind Berkshire's Purchase Of Apple 20:48 Responding To Comments
00:00 Introduction 01:40 Portfolio Update 04:10 Dividends are Increasing 12:12 Costco Hot Dog Price 14:56 Church & Dwight Stock Performance 17:58 Curch & Dwight Stock Fundamentals 23:23 Church & Dwight Stock Qualitative Analysis
00:00 Introduction 01:06 JP Morgan Cancels Buybacks 10:01 Economic Update 13:21 Why I Sold BST 18:40 Getting to $600 Month In Dividends
00:00 Introduction 01:38 Portfolio Performance Update 04:17 Amazon Purchases One Medical 11:04 Dominos Earnings 13:53 Why I Invest In High-Quality Companies
00:00 Introduction 04:50 Microsoft Earnings 13:09 Google Earnings 23:31 Meta Earnings
00:00 Introduction 02:00 Portfolio Update 06:20 Jobs Report & Economic Update 09:26 Amazon's Master Plan 14:23 Warner Bros Discovery Earnings Report
00:00 Overview 02:36 Portfolio Update 09:35 Michael Burry Warning 15:25 Terry Smith Portfolio Update 20:10 Dan Loeb Buys Disney Stock 29:40 TikTok Advice On A Productive Day
00:00 Introduction 01:33 Patreon Plug 02:15 Terry Smith Buys Apple 15:00 The Fed Raises Interest Rates
Introduction 01:20 Portfolio Passive Income Update 06:12 The Employee Bubble Is Popping 14:45 Jeremy Siegel Is Angry At The Fed 18:24 The Carvana Crash
00:00 Introduction 01:09 Portfolio Update 03:49 Binance & FTX 10:21 Disney Selling Off 19:17 Meta Layoff Is Official
00:00 Introduction 00:40 FTX Update 04:52 Portfolio Update 07:13 Buffett Buys TSM 15:08 Jeff Bezos Predicts Recession 17:28 Barry Diller, Netflix Has Won 24:35 Walmart vs Target
00:00 Introduction 01:24 Portfolio Update 02:11 Bob Iger Is Back 03:22 Bob Chapek Problem 1. Talent 04:59 Bob Chapek Problem 2. Politics 07:27 Bob Chapek Problem 3. Content 13:48 Bob Chapek Problem 4. Performance 20:46 Is Jim Cramer Actually Right? 22:40 My Disney Holding 24:32 Elizabeth Holmes Sentencing
00:00 Introduction 01:10 Qualtrim Plug 01:55 Elon Musk Declares War With Apple 13:43 Portfolio Update 22:50 Ted Weschler, The Greatest Stock Picker Ever?
00:00 Introduction 00:52 Portfolio Update 05:51 Preparing For The 2023 Recession 15:16 VICI Buys More Properties 20:52 Musk's War With Apple Ends 20:12 TikTok Tips
00:00 Introduction 01:43 My Sells 06:50 My Buys 08:40 I Was Wrong 13:12 Bed Bath & Beyond Bankruptcy 18:16 Apple VR Headset Update
00:00 Introduction 01:50 Qualtrim Shout Out 02:26 My Portfolio 06:39 My Performance 07:56 Value Investing Vs Others Investing 22:59 VICI Buys Canadian Casino Real Estate 26:05 Warner Bros Discovery Troubles 30:30 Microsoft AI Moves 32:41 Disney Back To The Office
00:00 Introduction 02:20 Terry Smith Fund Performance 08:30 Investing Is More Difficult 11:00 Buying Good Companies 13:48 Don't Overpay 16:12 Do Nothing 17:57 Terry Smith upset at Unilever 23:39 Stock-Based Compensation Trickery
00:00 Introduction 01:18 M1 Ad 02:18 A Major Market Change 18:15 Microsoft Layoffs 19:30 Disney Executive Pay
00:00 Introduction 01:34 Patreon Ad 03:06 The Feds Bluff 08:49 Warning To Investors 20:34 Canadian Pacific Stock 21:10 Apple Upcoming Earnings 27:01 Intel Earnings 29:45 Meta Earnings
00:00 Preview 02:10 Portfolio Update 04:55 Microsoft Already Wins 21:58 Retail Traders Are Giving Up
00:00 Preview 00:45 1. S&P Global Analysis 07:12 2. VICI Analysis 09:17 3. Mastercard Analysis 14:40 4. Texas Roadhouse Analysis 16:48 5. Microsoft Analysis 20:30 The New Buzzword AI 29:39 Inflation Higher Than Expected
00:00 Introduction 02:40 Buffett's General Life Advice 10:31 Understanding Human Behavior 17:50 Emotional Investing 19:28 Is Diversification Necessary 21:45 Elon Musk 26:15 This Business is Way Better Than Any Of Our Companies 30:19 Buffett on Paramount 31:12 Microsoft Merger
00:00 Introduction 01:28 Google Analysis 16:00 Disney Analysis
00:00 Introduction 01:09 Why I'm Buying Intuit 21:29 Microsoft CEO Interview 29:00 Elon Musk Interview
00:00 Introduction 02:58 Valuations Of Every Company 13:16 FTC Goes After Amazon 18:52 Elon Musk vs Mark Zuckerberg 23:29 The infinit get rich money hack (via TikTok)
00:00 Summary 02:19 Seth Klarman's Everything Bubble 11:46 Satya Nadella 500 billion goal for Microsoft 15:25 Blackstone is selling the Bellagio 22:40 TikTok Follow-Up
00:00 Summary 01:25 Patreon Free Trial 03:05 Mastercard 20:50 Railroad Stocks 21:57 MSG Sphere 22:41 Market efficiency 28:59 HBO Shows going on Netflix
00:00 Earnings Will Be "Terrible" 06:11 Apple 07:53 VICI 09:30 Microsoft 10:48 Texas Roadhouse 13:25 Costco 14:30 S&P Global 16:45 Mastercard 18:03 Intuit 19:11 Union Pacific and Canadian Pacific 20:48 Fair Isaac 23:11 Marriott 24:16 Chipotle 26:00 Moody's 26:36 Visa 27:07 MSCI
00:00 Preview 01:23 Earnings Week 05:34 Threads Slowdown 09:45 Sergey Brin Is Back At Google 11:10 Netflix Earnings Report 15:56 Tesla Earnings Report 20:41 TikTok Financial Advice
00:00 Preview 02:55 Microsoft 11:42 Visa 15:35 Google 18:20 Union Pacific 24:06 Meta 27:30 VICI
00:00 Preview 02:22 US Debt Downgrade 09:04 Starbucks Earnings 13:26 VICI's New Investments
00:00 Preview 01:50 Upcoming Recession & My Portfolio 09:46 Valuations are "silly" 18:45 Berkshire Cash Position 21:14 Apple Sell Off 24:56 Paramount Earnings 26:55 PayPal Earnings
00:00 Introduction 04:00 S&P Global 09:40 Mastercard 11:33 VICI 14:50 Apple & Microsoft 17:32 Costco 22:18 Texas Roadhouse 25:09 Intuit 26:07 CPKC & Union Pacific 27:00 Chipotle
00:00 Introduction 03:17 The Fed's Remarks 05:34 Nvidia Valuation 15:04 Amazon Palm Payment 19:36 Subway Is Sold 20:48 Disney Hits 10-Year Low 22:50 TikTok Financial Advice
00:00 Introduction 01:10 Visa & Mastercard Price Raise 15:40 Apple Event Rumors 19:05 Dan Ives Predicts The Market Will "rip"
00:00 Introduction 01:45 Patreon Sponsorship 03:46 Better Cash Management 09:50 LULU Earnings Report 13:20 Disney vs Charter 18:03 My Retirement Account 24:24 TikTok Life Advice
00:00 Introduction 02:50 China Banning Apple 09:35 The Streaming Strike Continues 11:45 FTC Suing Amazon 15:46 Jeremy Grantham Interview
00:00 Introduction 01:35 Apple iPhone 15 Disappointment 17:56 Reddit Advice 22:10 Inflation report
00:00 Introduction 02:50 YouTube Channel Update 05:35 The 2024 Recession 19:00 Blackrock Owns The World 24:36 Apple iPhone 15 Demand
00:00 Introduction 02:00 S&P Global Business Breakdown 17:24 S&P Global Financial Characteristics 23:08 FTC Lawsuit Against Amazon
00:00 Introduction 02:50 Portfolio Update 09:29 Bill Ackman: Things Are Changing 27:39 Chipotle Automation
00:00 Introduction 01:39 Hamas Attacks Israel 04:48 Intuit Buy 08:22 Chipotle Buy 09:09 Canadian Pacific Buy 10:45 Peltz Buys More Disney 18:10 Home Depot Catches Unusual Suspect
00:00 Introduction 02:05 VICI Sell Off 10:15 Texas Roadhouse
00:00 Introduction 01:05 My Portfolio 02:40 Microsoft Earnings 06:41 Google Earnings 17:46 Meta Earnings 21:01 VICI Earnings 25:38 Canadian Pacific Earnings
00:00 Introduction 03:15 Two Stocks I'm Buying 08:05 It's Time To Buy Bonds 16:49 Realty Income Corp Acquisition 18:14 McDonalds Earnings 19:50 Nelson Peltz Gains On Disney 24:20 Jeremy Siegel Is Bullish 26:50 People Upset at Fidelity
00:00 Introduction 03:16 Apple Earnings In Context 09:13 S&P Global 11:48 Target CEO 14:42 Apple Event Shot On iPhone 16:07 The First Date List
00:00 Introduction 02:30 Portfolio Update 05:56 Microsoft Wins AI 16:50 Vegas Formula 1 Disruption 20:31 Why S&P 500 Outperforms Investors
00:00 Introduction 03:59 Big Tech Bull Run 11:56 New AI Clip Demo 14:56 Moody's US Rating 17:09 The Marvels Horrible Opening Weakend
00:00 Intro 03:40 New $5,000 Buy Into CPKC 15:15 Sam Altman Joins Microsoft 26:35 Formula 1 In Vegas
00:00 Intro 02:47 Black Friday Sales Numbers 13:43 Amazon Now Bigger Than UPS In US 15:29 The Bears Were Wrong... Again 17:27 Elizabeth Warren X Post
00:00 Intro 02:20 Elon Musk vs Disney 12:05 Disney's New Game Plan 19:55 McDonalds New Starbucks Competitor 21:45 Bill Ackman Lowering Interest Rates
00:00 Introduction 02:05 Recap of 2023 13:00 GTA 6 Trailer 16:50 Will AI vs The Internet 21:17 Spotify Cutting Costs
00:00 Introduction 00:40 VICI 06:48 Netflix 11:53 Costco 19:20 S&P Global 23:20 Canadian Pacific
00:00 Introduction 02:18 The Return To Normalcy 09:00 Apple Downgrade 13:17 Mickey Mouse Becomes Public Domain
00:00 Introduction 01:33 Compounding Machines 21:01 Boeing Door Falls Off During Flight 24:59 Honda Teases New EV's
00:00 Intro 02:25 Trump May Win 14:18 Nike Stock Drops 20:36 Walgreens Loses To Amazon 21:40 Gen Z Investing With Astrology
00:00 Intro 04:50 Microsoft Sell Off 09:38 Google Earnings Analysis 12:53 Moody's Earnings 15:40 S&P Global Earnings 16:57 Texas Roadhouse Earnings 21:30 PayPal Earnings 24:15 CrowdStrike Lawsuit 35:10 Cancel Netflix Campaign