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It’s the Economy

It’s the Economy

Written by: Circle Of Insight Productions
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Welcome to It’s the Economy, a data-driven podcast exploring the forces shaping markets, policy, and the global economy. Each episode delivers clear analysis of stock market trends, macroeconomic indicators, Federal Reserve policy, inflation dynamics, and key legislation affecting businesses and investors.

From sector rotations and geopolitical risks to fiscal policy and economic data releases, we break down what the numbers actually mean for markets, businesses, and everyday Americans — with context, technical insights, and real-world implications.Copyright Circle Of Insight Productions
Episodes
  • CPI Reacceleration to 3.3% YoY, Fed on Hold, Next Week’s CPI & PPI Eyed for Gold Impact: Technicals and Outlook
    May 8 2026
    Authoritative breakdown of March CPI’s rise to 3.3% year-over-year amid energy pressures, Federal Reserve policy signals, commodity trends, and precise technical analysis for gold and equities. We examine how next week’s April CPI, PPI, and related releases could directly influence gold prices through inflation expectations and Fed policy implications. Business & Finance; secondary: Government & Law; tertiary: Science/Psychology.

    Subscribe for regular market and policy updates. Rate and review the show to help others discover it. For deeper geopolitical analysis, explore Foreign Affairs Circle and Spy Craft. Questions or topic suggestions are always welcome.
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    7 mins
  • CPI Reaccelerates to 3.3% — Why the Fed Held Rates and What It Means for Gold, Markets &
    May 7 2026
    In this data-driven episode of It’s the Economy, we break down the latest CPI surge to 3.3% year-over-year — its highest level since May 2024 — driven by a sharp 12.5% energy spike amid Middle East tensions, alongside the Federal Reserve’s decision to hold rates at 3.50%–3.75% despite internal dissent. We provide clear technical analysis on gold trading near record levels, key support and resistance, moving averages, RSI, and MACD signals, plus broader market developments including S&P 500 and Nasdaq rotation, subdued VIX, and yield curve dynamics.
    We also explore behavioral insights on anchoring bias and shifting risk appetite, with practical takeaways for investors navigating persistent inflation, geopolitical risks, and implications for the Australian dollar and commodity markets.

    Subscribe for regular market and policy updates. Rate and review the show to help others discover it. For deeper geopolitical analysis, explore Foreign Affairs Circle and Spy Craft. Questions or topic suggestions are always welcome.
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    7 mins
  • Gold Technicals Breakout on 3% Surge, S&P 500 Nears Records Amid US-Iran Peace Hopes – Economic News & Analysis
    May 6 2026
    market podcast for May 6, 2026, delivering professional analysis of today’s economic news including US-Iran peace deal developments, Q1 GDP growth of 2.0 percent, sharply falling oil prices, and persistently high US gas prices above $4.50 per gallon. This episode provides in-depth technical analysis on gold’s 3 percent surge with key support and resistance levels plus strong buy signals, alongside S&P 500, Nasdaq, and Dow technicals showing bullish momentum near all-time highs. Essential listening for investors seeking data-driven insights on financial markets, gold technicals, stock market analysis, and investing strategies in a high-value finance format aligned with IAB Business & Finance and Investing categories.

    Subscribe for regular market and policy updates. Rate and review the show to help others discover it. For deeper geopolitical analysis, explore Foreign Affairs Circle and Spy Craft. Questions or topic suggestions are always welcome.
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    6 mins
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