This episode dives into key macroeconomic questions and analysis. Jay Powell’s commentary is discussed—with signals that the Fed still favors a soft landing via further rate cuts to create policy space. The podcast covers Fed policy signals, market implications such as risk assets trending higher through Q1 2025, and the outlook on inflation and U.S. economic resilience. Quantitative insights include a bullish stance on Bitcoin and the current REFLATION regime, while risks from regulatory uncertainties and overextended asset positions are also examined. Additional educational tools and strategies for mitigating cognitive biases are highlighted to help investors navigate complex market dynamics.