
This episode explores the parallels between a Michael Jackson biopic and the Chernobyl disaster to derive practical investing lessons.
What does a Michael Jackson biopic have in common with a nuclear disaster at Chernobyl… and your retirement account? More than you think. In this episode of History Lessons for the Modern Investor, we use two very different stories—Hollywood trying to retell the life of the “King of Pop,” and the Chernobyl meltdown—to unpack real-world investing strategies you can actually use. Here’s what you’ll learn: 🎬 Segment 1 – Michael Jackson Biopic & Today’s Market Hype. We start with the new Michael Jackson movie and the tension every studio exec feels: 🎬 Huge expectations, messy backstory, and fans ready to call it a masterpiece or disaster based on a trailer 🎬 How that mirrors the current stock market narrative: strong spending, big earnings, AI/tech leading again… plus higher gas prices, sticky inflation worries, and lagging bonds 🎬 Why treating one “great quarter” or one hot theme as the whole story is dangerous for long‑term investors You’ll walk away with:• How to avoid chasing whatever sector or theme is getting all the hype• Why the “boring” parts of your portfolio are what actually hold the plot together• How to build an investing strategy that survives more than one market…
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