

Peter Boockvar: How To Position Your Portfolio In The Face of The Iran War
In this episode of The Master Investor Podcast, Wilfred Frost sits down with Peter Boockvar, CIO of OnePoint BFG Wealth Partners and editor of The Boock Report, to dissect what the Iran War means for markets - highlighting the stocks and commodities poised to benefit, and the rallies investors should be cautious of.…
We score an episode from what we can actually measure — its reach and engagement, what listeners say about it, and what it covers. We don't have those signals for this one yet, so it doesn't get a number.
Buzzmeter says it's buzzing across platforms — the Hive Vote says whether the people who actually listened liked it.
Rate this episode
Add your vote to the Hive — listeners rate every episode after they finish.
- No reviews yet — be the first.
More from The Master Investor Podcast with Wilfred Frost
See all episodes →
Jamie Dimon: Why I Won't Buy Bonds, AI's Future & Leadership Lessons

Forget Tech: Why Hard Assets Will Win The Decade | Jeff Currie

Equities Extremely Complacent; De-lever and Prepare to Buy The Dip
Similar episodes from other shows
More like The Master Investor Podcast with Wilfred Frost →
Stephanie Pomboy: Iran War Creating A Global Scramble For Hard Assets?

The Iran War Crisis: Ex-CIA Analyst Helima Croft on Oil Shock & Energy Risk | The Weekly Wrap

War, Oil and Market Volatility: The Iran Conflict Explained

Why The Iran War Could Reignite Inflation
One great episode in your inbox, daily — free.
One email a day, unsubscribe anytime. No spam, ever.