Real yields, oil, conflict scenarios
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Real yields, oil, conflict scenarios

1:11:11 Mar 31, 2026
About this episode
James Kostohryz, who runs Successful Portfolio Strategy, on Strait of Hormuz closure and other conflict repercussions (0:40) Bear markets and what's priced in (17:50) Oil price; aggressively in non-North American E&P stocks (27:00) Even if you don't invest in bonds, it's essential to understand what's going on there (40:05) Why gold's vulnerable to a decline (48:50) US dollar, industrial commodities, tech sector (55:40)Show Notes:US Inflation Scenarios: War-Induced Oil-Price ShocksWar, $200 Oil, And The Market's ReckoningStock index futures spike on report Trump willing to end warEpisode TranscriptsFor full access to analyst ratings, stock and ETF quant scores, and dividend grades, subscribe to Seeking Alpha Premium at seekingalpha.com/subscriptions.
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