Category: Finance

Episode 49 – What to Do When the Stock Market is Infected With Coronavirus

Episode 49 – What to Do When the Stock Market is Infected With Coronavirus

Financial analysts claim that the stock market has recently seen the worst week of losses following the 2008 Financial Crisis. As an investor, do you know how to stay calm and make smart investment decisions throughout the calamity?

In this episode, Mark Pearson discusses how to NOT panic during these tumultuous times, shares statistics about market reactions to past viruses, and emphasizes the importance of knowing what you own and why you own it.

In this episode, you will learn:

  • What the insanity is and how to stop it
  • The impact of coronavirus on the stock market
  • What black swan events are
  • Why asset allocation is essential
  • The importance of knowing what is going on in your portfolio
  • And more!

Tune in now to learn what to do — and not do — during these tumultuous times in the market.!

Resources:  Nepsis 

SPECIAL UPDATE: COVID-19

SPECIAL UPDATE: COVID-19

In this special episode, we share updates on how we are responding to the COVID-19 situation, how we’re assisting our clients, and what actions we’re advising investors to take during this time of uncertainty. 

Tune in now to learn how the markets are being affected and what we’re doing to help clients during this tumultuous time.

Resources:  Nepsis

Episode 48 — Why Mark Pearson is Praying for a Pullback

Episode 48 — Why Mark Pearson is Praying for a Pullback

Unlike many investors, Mark Pearson is praying for a market pullback.

Today, Mark shares why he welcomes pullbacks and why many investors could benefit from changing their perspective around investing and volatility. In this conversation, Mark explains his view of risk, the opportunities it can provide investors, and why all investors should always be prepared for a 20% pullback.

In this episode, you’ll learn:

  • Why investors should focus on keeping their emotions in check
  • How investing isn’t cookie-cutter, but rather a process and continuum
  • Why Mark believes that volatility is the greatest tool available to investors 
  • The problem with basing risk decisions on a snapshot in time
  • And more!

Tune in now to discover how investing with clarity can help you embrace a more positive outlook on market pullbacks!

Resources: Nepsis 

 

Episode 47 — Nepsis’ 2020 Market Forecast — with Chuck Etzweiler

Episode 47 — Nepsis’ 2020 Market Forecast — with Chuck Etzweiler

Mark Pearson and the Nepsis team want you to start the year out right by investing with clarity.

That’s why Mark Pearson is speaking with Nepsis’ senior vice president of research, Chuck Etzweiler, on today’s podcast. Today, Chuck shares his research-based forecast for the year, outlines how to stick to your buy-and-sell disciplines, and discusses how to tune out the noise of mainstream media this year.

In this episode, you’ll learn:

  • Why Chuck doesn’t believe 2020 will be a down year
  • How the election might impact investors and the market
  • Why market pullbacks should be loved, not feared
  • How Nepsis leaves their emotions at the door when investing (and why it’s so important they do!)
  • And more!

Join Mark and Chuck now to discover what they foresee for 2020 and how you can shut out the noise to invest with clarity!

Resources:   Nepsis

Episode 46 — Mark Pearson’s Top 10 Stock Market Predictions for 2020

Episode 46 — Mark Pearson’s Top 10 Stock Market Predictions for 2020

Now that we’re officially in 2020, are you curious about where the markets might be heading this year?

After batting 100% on all of his predictions for 2019, Mark Pearson is back with his annual predictions for 2020. In this episode, Mark uncovers his top 10 predictions for the stock market this year, from where the S&P will end in 2020 all the way to how investors will behave.

In this episode, you’ll learn:

  • What to keep in mind when listening to predictions
  • Why you shouldn’t take a short-term view when investing
  • How investor behaviors might impact the market this year
  • Why the stock market doesn’t work on a calendar basis
  • And more!

Tune in today to discover what Mark predicts 2020 will bring to the investing world!!

Resources: Nepsis | Blog: Top 10 Stock Market Predictions for 2020 | Episode 40: How to Overcome the Dirty Dozen Investment Biases

Episode 45 — Why You Should Be a Contrarian

Episode 45 — Why You Should Be a Contrarian

The word of this podcast is “trillion” because with the markets going up, people are cashing out to the tune of three trillion dollars!   

In this episode, Mark Pearson explains why now is a better time than ever to invest with clarity and buy, rather than squirrel away that money. Get ready to learn the case for being a contrarian and sticking to your investment process while everybody else is moving to cash.

In this episode, you’ll learn:

  • Why a recession is a good thing
  • Three reasons why Mark isn’t afraid of a recession
  • Why Mark believes we are on the verge of another leg of a bull market
  • And more!

Listen in to discover why it’s even more important to invest with clarity now and stop stashing your cash.

Resources:   Nepsis 

Episode 44 — How ETFs Are Changing the Investing World

Episode 44 — How ETFs Are Changing the Investing World

There has been an immense growth in the ETF (Exchange-Traded Funds) market over the years, making more people curious about what they are and whether they would benefit from having them in their portfolio.

Today, Mark breaks down what you need to know about ETFs and how they’re impacting the investing landscape.

In this episode, you’ll learn:

  • A benefit ETFs offer that mutual funds don’t
  • The downside of ETFs
  • The impact of investors being able to buy and sell buckets of investments
  • Where ETFs may be headed in the future
  • And more

Listen now to learn about the rise of ETFs and the impact they’re having on investors and their portfolios!

Resources:   Nepsis 

 

Episode 43 — What Makes Mark Pearson Worry?

Episode 43 — What Makes Mark Pearson Worry?

Many investors worry about their investments. But what do money managers, like Mark Pearson who has years of experience and a solid investment strategy, worry about?

In today’s episode, Mark uncovers his own worries around investing, covering everything from the media’s outlook on the markets to investors’ own attitudes that could be negatively affecting them.

In this episode, you’ll learn:

  • How the media can affect investors in their decision-making
  • What successful investors have in common
  • The downside of modern portfolio theory
  • Why investors are their own worst enemies
  • And more

Join Mark now for an insightful episode about what’s keeping him up at night and learn just how powerful ultimate clarity can be in addressing these worries.

Resources: Nepsis 

Episode 42 — Overcoming the Dirty Dozen Investment Biases: Part 3

Episode 42 — Overcoming the Dirty Dozen Investment Biases: Part 3

In the final part of his investment biases mini-series, Mark Pearson is back to round out his list of the “Dirty Dozen” investment biases that guide buyers’ decisions. 

In this episode, Mark dives into four more biases, defining what they are and how they affect the investment process. Mark also provides examples and insight into how you can overcome these biases and invest with clarity.

In this episode, you will learn:

  • Four new biases: reference point bias, deception bias, despondency bias, and get-even bias
  • How good money managers can help you overcome your biases
  • How Mark overcomes his own investment biases
  • How investment biases can be seen in the case of investors and Zest Labs stocks
  • And more!

Tune in now for the final part of Mark’s series and gain awareness of your own biases! 

Resources:  Nepsis | Episode 40: How to Overcome the Dirty Dozen Investment Biases: Part 1 | Overcoming the Dirty Dozen Investment Biases: Part 2

Episode 41 – Overcoming the Dirty Dozen Investment Biases: Part 2

Episode 41 – Overcoming the Dirty Dozen Investment Biases: Part 2

The “Dirty Dozen” refers to the 12 biases that buyers have when it comes to investing. 

In this episode, Mark Pearson is back to highlight more biases and explain how you can overcome them. Dive into part two and be on your way to getting the investment clarity you’ve been wanting.

In this episode, you will learn:

  • What deception bias is and how it leads to other biases
  • How Mark helps his clients overcome the framing bias
  • How Mark rises above the noise that creates the Dirty Dozen biases 
  • Why investing is a science
  • And more!

Tune in today to learn about more investing biases and how to move past them!

Resources:  Nepsis | Episode 40: How to Overcome the Dirty Dozen Investment Biases: Part 1