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Reflections on Investing

Reflections on Investing

Hosted by Cornell Capital Group LLC

Episodes

64

Latest episode

Mar 2025

Language

EN-US

About the show

Drawing upon his 40 year career in both academia and investment consulting, Prof. Bradford Cornell tackles todays important investing issues from both a practical and scientific perspective. His straightforward approach will help investors or all stripes make reasoned financial decisions. www.cornell-capital.com

Listen to episodes

60 recent
March 20, 2025Episode 658 min

Ep65: Tesla's Fountain of Youth Revisited

The P/E for automobile manufacturers is normally very low. Ford, GM and Toyota currently trade at 7 times earnings. Tesla’s P/E of 114 is unique in the auto industry. Elon Musk’s promises of future growth from humanoid robots and robotaxis have sustained Tesla’s high price but investors should be cautious as stock prices built on future growth expectations can drop just as quickly as they rise.

February 12, 2025Episode 647 min

Ep64: Risk

The perception of risk has a major impact on the level of market prices and helps to explain the increase in prices over the last 15 years.

November 19, 2024Episode 627 min

Ep62: Government Debt and Investing

As Herb Stein “if something cannot go on forever, it will stop”. The current growth of government debt is unsustainable. How will it stop? And what does that mean for investors?

October 30, 2024Episode 619 min

Ep61: Stocks and Wealth Creation

A majority of stocks destroy wealth. In fact, most all of the wealth creation from stocks is attributable to only a handful companies.

September 24, 2024Episode 596 min

Ep59: From Earnings to Prices - P/E Multiples

The combination of P/E multiples and earnings determines stock prices – its basic math. In our last episode of Reflections on Investing we looked at earnings, now we add in the role of the multiple.

September 17, 2024Episode 589 min

Ep58: Earnings, the Engine of the Stock Market

The ultimate source of value for common stocks is the earnings of corporations. In the last four and a half years the S&P 500 has risen 124%. How is that increase related to earnings and what does it imply for the future of the market?

June 3, 2024Episode 579 min

Ep57: Risk and Return Revisited

A common refrain is that to get more return you have to bear more risk. But what exactly is risk? We revisit this important issue.

March 6, 2024Episode 5612 min

Ep56: The Medallion Fund vs Market Efficiency

Professor and Nobel Prize winner Eugene Fama put forth the efficient market hypothesis and based on that concept Warren Buffet suggested that holding a passive investment in the S&P 500 was the best advice for most investors. If the market were efficient and if passive investing was best for everyone, how can that be reconciled with the performance of Jim Simons' Renaissance Technologies Medallion fund.

February 20, 2024Episode 554 min

Ep55: Stock Prices - For Every Buyer There is a Seller

When attempting to explain movements in stock prices the media often overlook the key facts that for every buyer there is a seller and every outstanding share must be held continuously.

January 12, 2024Episode 548 min

Ep54: Damodaran's ERP and Future Stock Prices

The decade ending in 2023 was a great one for common stocks. Is the next decade likely to be as good? We provide an analysis using Damodaran's equity risk premium (ERP) and a framework developed by Jordan Brooks of AQR.

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