Dantes Outlook Market Podcast
Damanick Dantes
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Latin America Investment Opportunities
Latin America Equities Outlook Why Latin American stocks are outperforming global markets Structural vs. cyclical drivers of emerging markets performance Is a long-term rerating underway? Macro…
Beyond Borders: Global Wealth & Mobility
In a rapidly shifting global landscape marked by geopolitical tension and increasing fragmentation, wealth management is no longer just about markets. It’s about optionality. In this episode,…
From Turtle to Titan: Trend Following with Jerry Parker
Key Topics: The original Turtle experiment and lessons from Richard Dennis Why and how trend following focuses on small losses and large winners Volatility-based position sizing and risk…
Crypto and Gold in a Multi-Asset Framework
Episode Highlights:Why 2025 delivered strong returns across most asset classes — except cryptoBitcoin and Ethereum’s negative YTD performance in contextKey technical breakdowns in Bitcoin using…
Portfolio Update: Emerging Market Regional Tilts Drive Outperformance
Topics Covered:November performance recap for the Moderate Global Balanced PortfolioActive equity selection and regional tiltsFixed income positioning: intermediate-term U.S. TreasuriesYTD…
Investing Through Global Market Cycles
Key TopicsThe cyclicality of trend, value, momentum, and other stylesWhy Dantes Outlook blends trend, relative strength, and dispersionManaging risk during the crucial mid-30s to 40s accumulation…
Balancing Global Quality and Value Stocks
Key Topics CoveredWhy major equity indices sit far above trendUnderstanding rotations and style cyclesLessons from past extremes (2021, dot-com bubble, 2008–2021 growth dominance)Why valuations…
Portfolio Update: Positioning for Global Opportunities
In this episode:Why extreme bearish sentiment often precedes market recoveriesThe role of relative strength in identifying global equity opportunitiesHow Dantes Outlook is adapting its allocation…
Cyclical Rotation from High Beta to Quality Stocks
Topics Covered:High-beta vs. low-volatility stock performanceWhy narrow market breadth can lead to leadership shiftsSigns of improving fundamentals after a mild earnings recessionThe impact of new…
Balancing Stocks, Bonds, and Metals
In This Episode:Why Treasuries are having their strongest October in years.The significance of the negative stock–bond correlation and what it signals for portfolios.Inflation and labor market trends…
Q3 2025 Global Market Intelligence
In this episode:Key findings from the Q3 2025 Market Intelligence ReportWhy asset dispersion is narrowing and what that means for diversificationWhere our models see strength—select metals, emerging…
Middle East Investment Takeaways, Riyadh & Dubai
Topics Covered:– Introduction: A new perspective from Riyadh and Dubai– First impressions of the Middle East’s financial centers– Inside the CMT Global Investment Summit: sentiment, structure, and…
Saudi Market Leadership & Global Cycles
Abdulelah’s background and pathway to technical analysisMentorship, the CMT Association, and Riyadh chapter goalsGrowth opportunities in Saudi Arabia and the UAECyclicality, sector exposure, and…
Is China's Rally Built to Last? Cross-Asset Signals: Metals & Bonds
Why copper/gold and silver/copper ratios may be sending different signals this cyclePositioning ahead of the FOMC meeting in rates and FXDuration strategy during rate-cutting cyclesActive vs. passive…
$7 Trillion FX Market & Dubai's Role
Topics CoveredSetting the global context: the $7 trillion daily FX market and its driversThe advantages of technical analysis in high-liquidity marketsRule-based systems and algos: strategies for…
Navigating Stretched Valuations
U.S. Valuations: Deutsche Bank research shows that historically, high valuations have led to weaker 10-year returns, raising questions about long-term U.S. equity performanceAI and the Mag-7: The…
Sweet Spot for Bonds and Navigating Equity Pullbacks
Rates & Fed Policy: Markets are overly optimistic on rate cuts; inflation remains sticky, keeping the Fed cautious (DeepMacro).Equity Positioning: Systematic funds are heavily tilted toward…
Momentum, Forward Returns, Investor Behavior, and Credit Liquidity
Market Breadth: NYSE advancers outpaced decliners 4-to-1, suggesting resilience beneath the equity rally (SentimenTrader).Macro Signals: Inflation remains domestically driven; Fed unlikely to cut…
Positioning in Core Bonds and Emerging Markets
Topics Covered:Portfolio construction in today’s macro climate — balancing risk, correlations, and tracking error.Credit market health — Morningstar DBRS and Proskauer data show improving leverage,…
Speculation Rising, Breadth Weakening: A Tactical Rebalance
This week’s episode covers:U.S.–EU trade deal impact and the new 15% tariff baselineMargin debt surges—5th fastest rise since 1998 (source: Deutsche Bank)Fed and ECB hold steady, but tone remains…
Frequently Asked Questions
Dantes Outlook Market Podcast has published 40 episodes since October 2020, covering topics in Business, Business News.
Dantes Outlook Market Podcast is currently highly active with new episodes monthly. Average episode length is 18m.
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