SKEPTIC’S GUIDE TO INVESTING
Straight Talk for All, Nonsense for None
About - Our podcast looks to help improve investing IQ. We share 15-30 minutes on finance, market and investment ideas. We bring experience and empathy to the complex process of financial wellness. Every journey is unique, so we look for ways our insights can help listeners. Also, we want to have fun😎
Your Hosts - Meet Steve Davenport, CFA and Clem Miller, CFA as they discus the latest in news, markets and investments. They each bring over 25 years in the investment industry to their discussions. Steve brings a domestic stock and quantitative emphasis, Clem has a more fundamental and international perspective. They hope to bring experience, honesty and humility to these podcasts. There are a lot of acronyms and financial terms which confuse more than they help. There are many entertainers versus analysts promoting get rich quick ideas. Let’s cut through the nonsense with straight talk!
Disclaimer - These podcasts are not intended as investment advice. Individuals please consult your own investment, tax and legal advisors. They provide these insights for educational purposes only.
Episodes
142 episodes
SpaceX As An Investment
The next wave of mega-IPOs may not be another software company. It might be SpaceX, a business that blends satellite internet, rocket launches, and defense-adjacent capabilities into one name that could be too big for investors to ignore.
Tim Cook’s Apple
Tim Cook never led like a headline magnet, and that’s exactly why we wanted to stop and take his record seriously. With news swirling around Apple’s leadership structure and succession, we zoom out and ask a practical investor question: what do...
The Last Amateur And The Investing Lessons In Golf
Most people think greatness is about raw talent. Then you meet someone who wins because they never waste a shot, never waste a moment, and never pretend the work is optional. That’s what I remember from caddying for Jay Siegel at The Country Cl...
Straightening out the Strait of Hormuz
A ceasefire headline is easy to trade. The Strait of Hormuz reality is harder: crowded sea lanes, mixed flags, sanctions workarounds, and one “accident” that can yank oil prices and risk assets in a single day. We dig into why the probability o...
Investing for Ourselves: Clem Miller
A portfolio can look “wrong” on paper and still be rational in real life. We pull back the curtain on what we actually hold, why one of us is willing to sit on a huge cash position, and how a downside-first investing philosophy changes every de...
Investing for Ourselves: Steve Davenport
“Leave it alone” sounds comforting until you’ve watched a concentrated stock position implode, or you’ve lived through a year where both stocks and bonds drop together. Clem and I sit down to walk through Steve Davenport’s portfolio mindset, an...
Money Stories And Solutions: Don Jay Rice
Money advice sounds simple until real life shows up. We sat down with Don Jay Rice of Drumbeat of Wealth to talk about the part of personal finance most spreadsheets ignore: the emotions, beliefs, and old memories that steer our money decisions...
Tariffs Vs. Small Business: Mike Musheinish
A tariff isn’t a headline. It’s a line item that can turn a $100 auto part into $172.50 before you even add shipping, labor, boxes, marketplace fees, insurance, or a modest profit. We sit down with Mike Musheinesh of Detroit Axle to translate t...
How The Strait Of Hormuz Threatens Oil Prices And Portfolios
A six-mile shipping corridor can do more to your cost of living than a dozen earnings calls. We zoom in on the Strait of Hormuz and unpack why a disruption there can quickly push oil prices, gasoline costs, and LNG markets higher, even when ene...
Suddenly You: Women Owning Money Moments
Money gets real when it’s suddenly you—the first 401(k), a partner’s illness, an inheritance, or the day you finally ask, What does risk actually mean for my family? We invited Kathy Karlic, founder of Suddenly You, to share a clear, compassion...
Oil, War, And What Markets Price In
A late‑night strike and a familiar promise: hit hard now, negotiate later, and watch prices fall. We put that theory under the microscope. From Iran’s deep roots as a civilization to the real mechanics of oil and LNG flows, we unpack what force...
Tariffs On Trial
A 6-3 Supreme Court ruling just rewired the tariff landscape, and we’re unpacking what actually changed—and what still can. We start by tracing why IEPA worked for sanctions but collapsed as a foundation for broad import duties, then break down...
Which Warsh Leads The Fed
We weigh whether Kevin Warsh will lead as a hawk, a dove, or a markets-first stabilizer, and why that framing may miss his core strength: structure and confidence. We map how board dynamics, politics, and tariffs shape the rate path and market ...
When Fear Sells Gold, Who Really Profits
Gold feels safe because it’s real, heavy, and timeless—yet that same tangibility can be a trap. We pull back the curtain on the coin-and-bar sales machine, explaining how patriotic branding, fake urgency, and government-sounding names steer sav...
Fuel Your Purpose With Adversity
We talk with coach and author Lance Cibik about turning hardship into purpose and building financial wellness through simple systems and relentless action. From a childhood of scarcity to speaking on national stages, Lance shows how to master t...
Greenland Risk, Market Nerves
We dig into why talk of controlling Greenland jolts markets, how NATO and EU cohesion factor into risk, and why mineral and oil narratives run headlong into cost and time. We weigh realistic outcomes—from free association to sovereign base righ...
Rethinking Retirement Readiness with Robert Powell
What if the retirement “crisis” isn’t universal—and the real squeeze is in the middle? We sit down with Robert Powell (aka “Mr. Retirement”) to unpack who’s truly at risk and how to build a plan that survives markets and real life. We start wit...
Fed Fight, Market Nerves
We unpack the fight over Fed independence, the DOJ subpoena, and why politics is pushing into central banking while markets pretend not to care. Then we tie Venezuela, Greenland, and Iran risk back to rates, sectors, and the case for cash, gold...
From Caracas To Wall Street: Weighing The Real Risks And Rewards
We weigh the lure of Venezuelan oil against hard realities: weak legal protections, heavy crude economics, and tangled geopolitics with Cuba, Russia, and China. The takeaway is prudence—favor diversified proxies over direct country risk and let...
Venezuela, Power, And The Price Of Oil
We unpack why Venezuela became the target, how “narco-terrorism” frames public consent, and why oil, sanctions, and heavy crude realities complicate every simple story. We weigh competing motives, from regional dominance to distraction at home,...
AI Euphoria Or Early Peak
We question whether AI hype has outrun fundamentals while mapping a practical plan to stay invested. We dig into energy limits, data center pushback, circular demand, debt signals, selective stock picking, and tax-smart ways to lock in gains.
Tariffs Fade From Center Stage
Markets don’t fear tariffs because they’re ideological. They fear tariffs because they’re unpredictable, blunt, and expensive at the point where businesses actually pay: the border. We dig into 2025’s tariff surge, why the legal footing always ...
Investing Through The International Merry-Go-Round
Headlines promised breakthroughs; markets priced stalemates. We step onto the so‑called international merry-go-round and examine how Ukraine, Gaza, and Taiwan shaped 2025’s volatility—then we connect the dots to where risk and return may actual...