CB3 Financial Podcast

Financial Commentary, Stock Market Updates, Educational Recordings, and 1-on-1 Interviews from CB3 Portfolio Manager Charles Brown, III (a.k.a. CB3)
In this week’s CB3 Financial Podcast Update, portfolio manager Charles Brown breaks down a turbulent week for investors as markets push toward record highs despite geopolitical tensions, inflation concerns, and uncertainty from the Federal Reserve.
Charles examines why the S&P 500 has shown resilience, how broader market participation is changing the investment landscape, and why strong earnings are helping support stocks. He also discusses portfolio positioning, valuation concerns, energy risks tied to the Strait of Hormuz, and the challenges facing the Fed as inflation remains elevated.
Topics covered include:
• Why the stock market continues climbing despite global instability
• The impact of Middle East tensions and energy prices on inflation
• Federal Reserve policy and the outlook for interest rates
• Why investors should remain diversified as valuations rise
• Market expectations surrounding upcoming political and economic developments
Tune in for Charles Brown’s perspective on navigating a complex market environment and preparing portfolios for what comes next.

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CB3 LIVE! - Update. Ep 14: "Weekend Update - What Drove Stocks Much Higher This Week?"
CB3 LIVE! - Update. Ep 13: "How Do We Buy Stocks?"
CB3 LIVE! - UPDATE. Ep. 12: "The Monday, August 5th Market Update - Market Turmoil"
CB3 Live - Thursdays
CB3 Live - Interviews
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CB3 & Bowley - Two Money Managers Discuss The Markets!