This episode delves into whether NVIDIA did enough to stem the rotation out of Big Tech, suggesting that investor capital for upside is now exhausted despite the AI infrastructure enthusiasm. It offers a macro analysis comparing the current AI theme to the 1990s internet boom and examines investor behaviors where global macro flows overshadow company fundamentals. The discussion covers quantitative signals, including a deceleration in NVIDIA’s performance and mixed fiscal Q4 guidance, before moving into portfolio strategies that advocate defensive positioning amid potential liquidity downturns and global refinancing challenges. The podcast also reviews short-, medium-, and long-term market signals, assesses the prevailing inflation risk-off regime, and outlines risks such as a strong US dollar and sticky inflation alongside opportunities via potential fiscal and monetary easing.