Facts vs Feelings with Ryan Detrick & Sonu Varghese
This podcast takes a deep dive into the market-moving events to cut through the noise and help you identify what really matters. Facts vs Feelings is hosted by Chief Market Strategist, Ryan Detrick and VP, Global Macro Strategist, Sonu Varghese, and is a product of the Carson Investment Research Team.
The information included herein is for informational purposes and is intended for use by advisors only, and should not be copied, reproduced, or re-distributed without the consent of CWM, LLC. Carson Partners offers investment advisory services through CWM, LLC, an SEC Registered Investment Advisor. Carson Coaching and CWM, LLC are separate but affiliated companies and wholly-owned subsidiaries of Carson Group Holdings, LLC. Carson Coaching does not provide advisory services.
Facts vs Feelings with Ryan Detrick & Sonu Varghese
Volatility, May I Meet You? (Ep. 162)
In the latest episode of Facts vs Feelings, Ryan Detrick, Chief Market Strategist, and Sonu Varghese, VP, Global Macro Strategist, dig into the surge in market volatility and what they believe is truly behind it. They explore shifting rate-cut expectations from the Fed, how mixed economic data is shaping the outlook, and why recent remarks from Fed officials have rattled markets. Ryan and Sonu also break down the sharp risk-off moves in crypto, the resilience of sectors like healthcare and commodities, and more.
Key Takeaways
- Fed Tone Shift: Fed officials struck a more cautious tone after their October meeting, sharply lowering expectations for a December rate cut and contributing to market weakness.
- Labor Data Uncertainty: With government shutdown-related data gaps, the Fed is flying partially blind, making upcoming payroll numbers pivotal in determining whether cuts resume.
- Crypto as Risk-Off Signal: Bitcoin and Ethereum have seen steep declines since last month, acting as a clear risk-off indicator and spilling into tech-adjacent equities.
- Sector Divergence: Healthcare (especially biotech), utilities, and value stocks have held up better during the pullback, while small-cap growth and speculative tech have lagged sharply.
- Commodities Showing Strength: Despite volatility, key commodities like copper, natural gas, silver, and jet fuel are meaningfully higher year-to-date—signs that global activity is holding up better than headlines suggest.
Connect with Ryan:
• LinkedIn: Ryan Detrick
• X: @ryandetrick
Connect with Sonu:
• LinkedIn: Sonu Varghese
• X: @sonusvarghese
Questions about the show? We’d love to hear from you! factsvsfeelings@carsongroup.com
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#FactsVsFeelings #MarketVolatility #FederalReserve #MacroPodcast #InvestingInsights #MarketOutlook #CarsonGroup
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