
Free Daily Podcast Summary
by Know Your Risk Radio
Do you know how much risk your retirement portfolio is actually exposed to? Whether it’s preservation of capital or an aggressive growth strategy, every investor needs a clearly defined RISK PROFILE. Host Zach Abraham, Chief Investment Officer at Bulwark Capital Management, will cover all types of investment vehicles and you’ll learn what investing looks like when portfolios aren’t influenced by the corporate objectives of the big banks and Wall Street brokerage houses. The opinions expressed in this program are for general informational purposes only and are not intended to provide specific advice or recommendations for any individual or on any specific security. To determine which investments may be appropriate for you, consult your financial advisor prior to investing. Any past performance discussed during this program is no guarantee of future results. Any indices referenced for comparison are unmanaged and cannot be invested into directly. Any refere
The most recent episodes — sign up to get AI-powered summaries of each one.
June 4, 2026 - Zach and Chase discuss a potential hidden dynamic behind the oil market's resilience, why China's buying strike may be more important than most investors realize, and whether a broader geopolitical detente could be influencing events behind the scenes. They also examine Taiwan, shifting U.S.-China relations, global energy flows, and why the physical realities of the oil market continue to clash with prevailing narratives. Along the way, they explore how incentives, diplomacy, and market psychology can sometimes matter as much as the headlines themselves.
June 3, 2026 - Zach and Chase discuss the growing incentives problem across financial media, why credibility is becoming increasingly valuable in a world driven by algorithms, and how investors can separate signal from engagement farming. They also break down the latest action in oil, AI speculation, SpaceX's eye-popping valuation, passive flows, retirement demographics, equity supply dynamics, and why several of the conditions historically associated with market bubbles are now appearing simultaneously. Finally, they revisit the Strait situation, China's role in global oil markets, and why the underlying math continues to matter more than the headlines.
June 2, 2026 - Zach and Chase discuss why they believe oil markets remain disconnected from physical reality despite three months of disruption in the Strait. They break down the growing gap between price action and fundamentals, why traders continue waiting on an "all clear" signal, the latest developments in the Middle East, concerns about liquidity beneath the surface of the market, Bitcoin's recent breakdown, Mag 7 equity issuance, AI-driven speculation, and why several asset classes may be sending a very different message than headline indexes suggest.
June 1, 2026 - Chase discusses why the oil market may still be dramatically underestimating the consequences of a three-month Strait closure. Despite a surge in crude prices, improving risk sentiment, and renewed optimism around negotiations, global inventories continue to tighten while critical questions remain unanswered. Chase also covers the latest developments involving Iran, Lebanon, and Israel, rising inflation risks, potential Fed rate hikes, the changing supply-demand dynamics in equities, and why international markets continue to outperform many U.S. investors' expectations.
May 29, 2026 - Chase discusses why investor positioning may be creating a dangerous disconnect between market pricing and physical reality. As volatility collapses, speculative assets surge, and bearish bets get squeezed out, oil traders appear to be throwing in the towel despite ongoing inventory draws, unresolved Strait negotiations, and tightening global supply. Chase breaks down the latest developments with Iran, why sentiment may matter more than headlines right now, and what investors could be missing if energy markets are approaching a major inflection point.
May 27, 2026 - Zach goes solo to break down why the current energy setup may be one of the clearest value-with-a-catalyst opportunities he’s seen since the GameStop short squeeze and the 2021–2022 energy trade. He explains why investors continue crowding into AI and semiconductor momentum while largely ignoring what he believes are historically undervalued energy producers sitting in front of a major supply shortage. Zach also discusses oil inventories, SPR math, China’s strategic reserves, valuation discipline, value investing psychology, and why the best trades often feel the hardest to own in real time.
May 26, 2026 - Zach and Chase discuss why the current market setup is beginning to resemble the late stages of a speculative blow-off while the underlying energy system continues deteriorating underneath. They break down the massive rally in semiconductors and AI infrastructure stocks, why memory-chip pricing may be dangerously disconnected from reality, and why markets continue dismissing what they believe is the largest energy disruption in modern history. They also discuss oil market mechanics, futures positioning, inflation risks, housing affordability, monetary policy distortions, and why years of financialization may have disconnected markets from physical reality itself.
May 22, 2026 - Zach and Chase discuss why the global energy situation may be entering a far more dangerous phase even as markets continue betting on a clean resolution. They break down the growing tension around the Strait of Hormuz negotiations, why repeated “jawboning” around oil prices may actually signal deeper concern from policymakers, and how a prolonged supply shock could bleed into inflation expectations, agriculture, freight, and global growth. They also discuss fertilizer markets, chemical companies, bond yields, housing affordability, Fed policy, and why decades of falling interest rates may have fundamentally distorted the global economy.
Free AI-powered daily recaps. Key takeaways, quotes, and mentions — in a 5-minute read.
Get Free Summaries →Free forever for up to 3 podcasts. No credit card required.
Listeners also like.

InvestTalk
Weekday discussions on investing, financial planning, and market trends with advisers Justin Klein and Luke Guerrero.

Retire SMART Podcast
Offers guidance on creating and maintaining a retirement income strategy using insurance and investment solutions.

Financial Heresy
Joe Brown explains how the financial system works and shares investment strategies for building wealth in uncertain economic times.

How I Invest with David Weisburd
Interviews with top institutional investors about their strategies and decision-making.

Masters in Business
Barry Ritholtz explores the people and ideas influencing markets, investing, and business.

Financial Decoder
Explores how cognitive and emotional biases affect financial decisions, with analysis and strategies to make better choices.

Masters in Business
Barry Ritholtz interviews influential figures in markets, investing, and business.

Your Money Guide on the Side
Personal finance advice and investing insights explained clearly with expert guests to help manage money effectively.

BiggerPockets Business Podcast
Real entrepreneurs share practical advice on starting, growing, and selling businesses, covering hiring, marketing, and raising capital.

Right About Now - Legendary Business Advice
Real talk from business founders and entrepreneurs about building companies, lessons learned, and what actually works in real-world ventures.

Afford Anything | Make Smart Money Choices
Explores money, investing, and decision-making through critical thinking, behavioral psychology, and mental models.

NerdWallet's Smart Money Podcast
Personal finance experts break down budgeting, saving, investing, and credit to help listeners make informed money decisions.
Do you know how much risk your retirement portfolio is actually exposed to? Whether it’s preservation of capital or an aggressive growth strategy, every investor needs a clearly defined RISK PROFILE. Host Zach Abraham, Chief Investment Officer at Bulwark Capital Management, will cover all types of investment vehicles and you’ll learn what investing looks like when portfolios aren’t influenced by the corporate objectives of the big banks and Wall Street brokerage houses. The opinions expressed in this program are for general informational purposes only and are not intended to provide specific advice or recommendations for any individual or on any specific security. To determine which investments may be appropriate for you, consult your financial advisor prior to investing. Any past performance discussed during this program is no guarantee of future results. Any indices referenced for comparison are unmanaged and cannot be invested into directly. Any refere
AI-powered recaps with compact key takeaways, quotes, and insights.
Get key takeaways from Know Your Risk Podcast in a 5-minute read.
Stay current on your favorite podcasts without falling behind.
It's a free AI-powered email that summarizes new episodes of Know Your Risk Podcast as soon as they're published. You get the key takeaways, notable quotes, and links & mentions — all in a quick read.
When a new episode drops, our AI transcribes and analyzes it, then generates a personalized summary tailored to your interests and profession. It's delivered to your inbox every morning.
No. Podzilla is an independent service that summarizes publicly available podcast content. We're not affiliated with or endorsed by Know Your Risk Radio.
Absolutely! The free plan covers up to 3 podcasts. Upgrade to Pro for 15, or Premium for 50. Browse our full catalog at /podcasts.
Know Your Risk Podcast publishes daily. Our AI generates a summary within hours of each new episode.
Know Your Risk Podcast covers topics including Business, Investing. Our AI identifies the specific themes in each episode and highlights what matters most to you.
Free forever for up to 3 podcasts. No credit card required.
Free forever for up to 3 podcasts. No credit card required.