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    Business

    Morning Call

    Morning Call, anchored by Morgan Brennan, delivers the essential market intelligence that drives the trading day ahead. The program captures breaking business news as it unfolds and tracks pre‑market equity moves, commodity swings, U.S. futures, and overnight action across global markets.

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    Latest Episodes:
    Bank Earnings on Tap, Consumer Spending Pressures, and Investing With Higher Rates 10/13/23 Oct 13, 2023
    Show notes

    Several banks kick off earnings season today as concerns about loan growth and deposit levels weigh. Argus Research's Stephen Biggar explains. Plus, more than half of executives believe credit card pressures will impact consumer spending in the coming months. Build-A-Bear CEO Sharon Price John discusses what her company is seeing. And, looking to lock in some gains within a higher-for-longer environment? Gilman Hill Asset Management's Jenny Harrington and GLJ Research's Gordon Johnson give their top stock picks.


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    The Global Software Market, Rates vs. Revenue, and the S&P 500's Bottom 10/12/23 Oct 12, 2023
    Show notes

    The global software market is projected to grow by $1.35 billion by 2027. Braze CEO Bill Magnuson discusses what his company is seeing. Plus, how do higher rates impact capital expenditure? Einride CEO Robert Falck weighs in. And, it's been one year since the S&P 500 bottomed out at 3,577. Washington Cross Advisors' Kevin Caron, Apex Financial's Lee Baker, and G Squared Private Wealth's Victoria Greene explain.


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    The Israel-Hamas Conflict, House Speaker Vote, and Pension Fund Investments 10/11/23 Oct 11, 2023
    Show notes

    Israel enters its fifth day of conflict with Hamas. Perion Network CEO Tal Jacobson discusses his company's response to the situation. Plus, Republicans are set to pick their next candidate for House Speaker today. Beacon Policy Advisors' Stephen Myrow explains. And, pension funds are sitting on the sidelines when it comes to the significant runup in rates. New York City Retirement System's Steven Meier discusses.


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    The Conflict in Israel, Pepsi Earnings on Tap, and Housing Check 10/10/23 Oct 10, 2023
    Show notes

    The conflict in Israel enters its fourth day today as thousands of citizens evacuate the region. WalkMe CEO Dan Adika describes what it's like operating in Tel Aviv. Plus, Pepsi reports earnings this morning as the stock underperforms the broader consumer staples sector. Professional Advisory Services' Jeremy Goldberg explains what he's expecting as a shareholder. And, one part of the economy significantly impacted by higher rates is housing. Moody's Analytics' Cristian DeRitis explains.


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    Israel's Biggest Conflict in More Than 50 Years 10/09/23 Oct 09, 2023
    Show notes

    Investors around the world are following what's being described as the biggest conflict in Israel in more than 50 years. Ambassador Lincoln Bloomfield gives the latest. Plus, the unrest in Israel is sending the price of oil surging after crude's worst week in months. Energy Aspects' Amrita Sen discusses. And, surging rates continue to put pressure on stocks. TD Securities' Gennadiy Goldberg explains.


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    September Jobs Report, High Rates vs. Stocks, and the Volatile Trading Week 10/06/23 Oct 06, 2023
    Show notes

    The monthly jobs report is out today, with economists expecting employers to have added 170,000 jobs in September. Aetrex Worldwide's Matt Schwartz describes the employment landscape in his industry. Plus, high rates continue to put pressure on stocks. Federated Hermes' Steve Chiavarone and F/M Investments' Alex Morris explain. And, how will the markets close out what's been a volatile trading week? CIC Wealth's Malcolm Ethridge weighs in.


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    Constellation Brands Earnings, Treasury Yields vs. Stocks, and Yesterday's Market Rally 10/05/23 Oct 05, 2023
    Show notes

    Constellation Brands reports earnings this morning, offering insight into consumer spending trends. Optimize Advisors' Mike Khouw tees up the results. Plus, surging Treasury yields continue to put pressure on stocks. Palisade Capital Management's Dan Veru explains. And, does yesterday's rally have more room to run? Vital Knowledge's Adam Crisafulli weighs in.


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    More Strike Actions, Sliding Oil Prices, and Surging Treasury Yields 10/04/23 Oct 04, 2023
    Show notes

    A growing number of unions are striking across the country. Former Acting Labor Secretary Seth Harris and American Enterprise Institute's James Pethokoukis explain. Plus, Ice Brent continues to trade at its lowest level in three weeks. RBC Capital Markets' Helima Croft discusses. And, surging Treasury yields are putting pressure on the broader markets. Silvercrest Asset Management's Robert Teeter and Truist Advisory Services' Keith Lerner lay out what's ahead.


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    Recession vs. Soft Landing, Consumer Staples: Bull vs. Bear, and Bonds vs. Stocks 10/03/23 Oct 03, 2023
    Show notes

    The debate around whether the Federal Reserve can pull off a soft landing is heating up. Citi Global Wealth Management's Steven Wieting and Bank of America's Aditya Bhave discuss. Plus, the consumer staples sector has been underperforming the broader market so far this year. Miller Tabak & Co.'s Matt Maley and Horizon Investments' Scott Ladner give the bull and bear cases for the sector. And, surging Treasury yields are putting pressure on stocks. UBS Global Wealth Management's Mark Andersen and Defiance ETFs' Sylvia Jablonski explain.


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    Trading the Techincals, Oil’s Wild Month, and the Outlook for Stocks 10/02/23 Oct 02, 2023
    Show notes

    Stocks may be nearing a technical inflection point to start the new trading quarter. Bank of America’s Stephen Suttmeier explains. Plus, oil prices are coming off a wild month as concerns about China and Saudi Arabia mount. Again Capital’s John Kilduff discusses. And, what’s the outlook for the markets into year-end? The Glenview Trust Company’s Bill Stone and G Squared Private Wealth’s Victoria Greene weigh in.


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