Episodes

9
Feb. 25, 2026

AI Disruption, Housing Cracks & Market Euphoria: Are We Ignoring the Warning Signs? | Money Moves

In this episode of Money Moves, we break down the growing disconnect in today’s economy. Markets look stable. Stocks are climbing. But underneath the surface, uncertainty is hitting record highs, housing demand is weakening, and AI is reshaping the workforce faster than most people realize. Topics Covered Nvidia earnings and what they signal for market momentum Geopolitical tension, tariffs, and sector rotation Record-low consumer optimism Why Americans 55+ now drive nearly half of consumer ...
8
Feb. 23, 2026

The State Of Raising Money In CRE And How LPs Should Evaluate Real Estate Syndications in 2026 | Aleksey Chernobelskiy

In this episode of Millionaire Mindcast, Matty A interviews Aleksey Chernobelskiy, founder of The LP Analyst, to discuss the evolving capital landscape in commercial real estate and how Limited Partners should evaluate syndication opportunities in today’s market. With rising interest rates, tighter liquidity, and increased scrutiny from investors, the game has changed for both LPs and GPs. Aleksey breaks down what LPs should prioritize—downside protection, debt structure, realistic underwriting...
7
Feb. 18, 2026

Stocks Surge, Housing Slumps, and Crypto Crashes - Something Isn't Adding Up in the Economy Right Now | Money Moves

In this episode of Money Moves, Matty A. and Ryan Breedwell break down one of the most confusing economic environments in recent memory. Stocks are pushing higher, housing activity is slowing, and crypto is experiencing major volatility — all at the same time. So what’s really happening beneath the surface? They unpack the disconnect between asset classes, what the data is signaling about liquidity and risk appetite, and whether markets are pricing in a soft landing… or ignoring deeper structur...
6
Feb. 11, 2026

Inflation Cools, Markets Climb, and Why Investors Still Don’t Believe the Rally | Money Moves

In this episode of Money Moves, Matty A. and Ryan Breedwell unpack the latest inflation data, shifting interest rate expectations, and why markets continue climbing a wall of worry. With CPI cooling and economic data coming in steadier than expected, the guys break down what this means for the Fed’s next move — and why rate cuts may be closer than investors think. They also explore the strange dynamic where “good news” creates hesitation in markets that have been conditioned for volatility. Th...
5
Feb. 4, 2026

Precious Metals Explode, Powell’s Last Stand, and What Comes Next for Markets & Crypto | Money Moves

In this episode of Money Moves, Matty A. and Ryan Breedwell unpack a historic week across financial markets, with explosive moves in precious metals, shifting crypto momentum, and major implications from the latest Federal Reserve meeting. The conversation opens with gold, silver, and copper posting eye-opening gains, raising questions about whether this move is driven by fear, inflation hedging, or simple under-allocation from institutional investors. Matty and Ryan break down why metals often...
4
Jan. 28, 2026

Markets at All-Time Highs, A Weaker Dollar, and Where Smart Money Is Rotating Next | Money Moves

In this episode of Money Moves, Matty A. and Ryan Breedwell break down a pivotal week for markets as the S&P 500 flirts with the 7,000 level, earnings season kicks off, and investors digest key macro catalysts. They discuss why round-number milestones matter psychologically, how earnings guidance—not headlines—drives long-term market direction, and why a Fed rate hold combined with future cuts could reignite housing activity. The conversation shifts into the U.S. dollar’s decline, putting rece...
3
Jan. 21, 2026

Markets, Tariffs, and Volatility: Why Long-Term Investors Keep Winning | Money Moves

In this episode of Money Moves, Matty A. and Ryan Breedwell break down the growing volatility hitting markets early in the year and why short-term fear continues to trap undisciplined investors. They open with a look at bearish sentiment across stocks, crypto, and bonds, explaining why early-year pullbacks are both normal and healthy. The guys reinforce why long-term investors should view red weeks as opportunity—not danger—and why history consistently rewards patience over prediction. The con...
2
Jan. 14, 2026

Markets Ignore the Headlines: Inflation, Tariffs, Crypto, and the New Investor Playbook | Money Moves

In this episode of Money Moves, Matty A and Brian break down why a “nothing burger” CPI print might actually be more important than it looks, what falling core inflation really means for rate cuts in 2026, and why ignoring the headlines may be the smartest investing move right now. They dig into the rise of gamification in markets, the impact of crypto as a real-time sentiment gauge, and why today’s investors behave nothing like those from previous decades. From tariffs and Supreme Court ruling...
1
Jan. 7, 2026

All-Time Highs, Falling Rates, and Why Betting Against America Keeps Failing | Money Moves

U.S. markets are hitting new all-time highs—again—and investors who stayed on the sidelines are once more left wondering what they missed. In this episode of Money Moves, Matty A. and Ryan Breedwell break down falling interest rates, renewed momentum in housing, and why media-driven narratives continue to mislead investors. They explore why certainty is dangerous in investing, how flexibility creates an edge, and why betting against the U.S. consumer has historically been a losing strategy. Th...