IRF CEO & Founder Edward Blad is joined by Damanick Dantes, CMT of Dantes Outlook for this episode of the IRF Podcast titled 'Top Trades Around the World in 2021'.
----more----Damanick explains his market outlook for 2021 including his thoughts on why the market is still in a risk-on scenario and why pullbacks and corrections in the market provide a buying opportunity for investors, particularly in the Commodities market. Damanick believes that outperformance in Commodities is having a global impact that is notable in Latin American equities and thus also providing investment opportunity. Damanick sees further buying opportunities in the small-cap sector where he feels outperformance is easily found in the current market conditions. Damanick also discusses his thoughts on the outlook for the S&P 500 and why he thinks weakness should be expected before going on to explain his view generation process, particularly focusing on how his asset allocation background allows him to focus on the long-term picture. Prior to founding Dantes Outlook in 2016, Damanick worked in roles ranging from FX to North American Rates for firms such as Saxo Bank and Fidelity Investments.
“Is ESG investing, with its focus on environmental, social and governance matters, just a passing fashion or a really good long-term investment opportunity?” Julian Morris, Unicus Research
“Is US Monetary Policy Struggling to Catch Up with Inflationary Pressures” Brian Pellegrini, Intertemporal Economics
“Russia and the Ukraine; David Roche cuts through the markets’ complacency”, David Roche, Independent Strategy
“Data driven and pragmatic; Don Luskin takes on the bears”, Donald Luskin, TrendMacro
“The Inflationary Implications of ESG and the Climate Transition – Some Considerations”, James Aitken, Aitken Advisors
“The Outlook for Precious Metals”, Jeffrey Christian, CPM Group
“When Does TINA (There Is No Alternative) End?”, Chris Watling, Longview Economics
”Where next for China’s big bang policy reforms”, William Hess, PRC Macro
“Finding US Equity Ideas”, Jonathan Boyar, Boyar Research
”Investing During a Saw Tooth Pandemic Recovery” David Roche, Independent Strategy
"The Myths and Maths of Commodity Investing" Kathleen Kelley, Queen Anne's Gate Capital
"Global Policy Pivot and the Wake Up Call to Markets" Callum Thomas, Topdown Charts
"Reading the Mood of the Market" Richard Edwards, HED Capital Management
"Recovery from the Covid Crisis – Sizzle or Fizzle", Carl Weinberg, High Frequency Economics
"The Changing Shapes of US Politics" Brian Pellegrini, Intertemporal Economics
“Will Bonds and Bitcoin Survive the Coming Stagflation?”, Derek Sicklen, AAS Economics
"Demographics will Reverse 3 Multi-Decade Trends", Manoj Pradhan, Talking Heads Macro
"Normality – What is it and can the Financial Markets cope with it?" Michael Taylor, Coldwater Economics
“How to Instantly Spot Red Flags in Annual Reports”, Jules Hull, StockViews
"Fiscal Dominance – What are the Economic Implications of this new US Paradigm" Barry C. Knapp, Ironsides Macroeconomics
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