the best stock market podcast episodes
A hand-picked, playable selection of the best podcast episodes for this topic — each with the reason it earned its spot. Press play on any pick, or build your own playlist free.
Why these picks
8 episodes curated for "the best stock market podcast episodes"
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The curated episodes
8 episodes — each chosen for a reason you can read below.
Why this pick: This Daily Stock Market News episode directly analyzes current market turmoil, tariff impacts, bond market concerns, and inflation data with real-time trading positions, making it an essential listen for anyone seeking actionable insights into ongoing stock market volatility. It provides expert commentary on how to navigate one of the craziest trading weeks ever, including bank earnings and consumer sentiment lows, offering both news summary and practical trading strategies. As one of the most recent episodes from 2025, it stands out for its timely relevance and high production quality focused purely on daily market movements.
Why this pick: This episode from the Daily Stock Market News series breaks down a major market plunge triggered by Trump targeting Fed Chair Powell, covering tariff developments, dollar weakness, gold highs, and upcoming earnings for TSLA and GOOGL. It delivers comprehensive daily market updates with explicit trading positions and analysis of the Trump-Powell conflict, providing listeners with immediate context for current events affecting the entire stock market. Its recency in 2025 and focused, well-produced format make it highly valuable for understanding policy impacts on trading.
Why this pick: Focusing on 180+ earnings reports including Magnificent Seven giants like AMZN, AAPL, META, and MSFT, this episode evaluates whether a market crash or rally is coming after a wild April. It includes analysis of S&P performance, Core PCE inflation, jobs report, and specific company struggles like Domino's, plus current trading positions for practical application. The detailed earnings season breakdown and forward-looking May predictions provide substantial educational value for stock market participants seeking data-driven insights.
Why this pick: This Daily Stock Market News installment examines the end of the S&P 500's historic 9-day winning streak, upcoming Fed meeting with Powell signals, Berkshire Hathaway changes, oil crash, and tariff uncertainties creating a perfect storm. It offers listeners specific trading strategies and positions amid corporate uncertainty, making it directly relevant to understanding interconnected market forces. Produced with clear structure and recent 2025 timing, it excels in synthesizing macro events for actionable stock market guidance.
Why this pick: Covering a massive Dow surge of 1,000 points following a surprise US-China tariff deal reducing rates significantly, this episode analyzes easing trade tensions, tech surges in AMZN and AAPL, pharma impacts, and upcoming inflation data. It uniquely provides premarket insights and trading position updates, helping listeners capitalize on positive market shifts. The high-quality daily format ensures comprehensive yet concise coverage ideal for staying informed on major stock market catalysts.
Why this pick: This episode dives into market tumbles after Moody's historic US credit rating downgrade to Aa1, explaining consequences like spiking Treasury yields above 5%, weakening foreign demand, and impacts on tech stocks including TSLA and NVDA. It contextualizes effects on mortgages, loans, and Trump's policies while updating current trading positions, offering deep analytical value. As a recent, expertly produced market news update, it addresses critical credit and debt issues affecting the broader stock market.
Why this pick: From Stock Market Today With IBD, this episode analyzes a 'Tale of Two Markets' where Nasdaq weakens but other sectors gain pace, with focused discussion on key stocks like Eli Lilly, Snowflake, and Sphere. It provides professional market action breakdown and specific stocks to watch, adding diversity through a different analytical lens from IBD's growth-oriented perspective. The detailed Friday recap format delivers practical, high-quality insights into market breadth and sector rotation.
Why this pick: This Investing for Beginners Podcast episode thoroughly explains the Shiller P/E (CAPE) ratio near 40, its implications for lower future returns, why mega-caps distort it, and practical frameworks for deciding where to invest next without panic timing. It addresses core questions about continuing to invest amid high valuations versus safe yields, providing mindset and behavioral guidance essential for long-term stock market success. The educational depth and expert hosts offer a valuable complementary perspective to pure news updates.