As stocks hit record highs, hidden structural risks could set everyday investors up for a 2027 market pullback. RCN Wealth Advisors President Nick Lumpp breaks down how to protect your cash and rebalance your portfolio using gold, bonds, and real assets before the next drop.
Recorded: October 6, 2026
00:00:12 – Why Market Caution Is Warranted
00:02:40 – Stock Market Outlook: Bullish or Expecting a Downturn?
00:03:34 – Portfolio Hedging & Risk Reduction Strategies
00:05:06 – Inside the RCN Strategic Allocation ETF
00:05:22 – Quantitative vs. Human-Driven Investment Strategies
00:06:44 – Why Bet Big on Small-Caps Ahead of an Economic Slowdown?
00:07:58 – What Triggers a Rotation Away From Small-Cap Stocks?
00:08:18 – Has Breadth Deterioration Begun in the Market?
00:08:34 – Portfolio Rebalancing: Today vs. 6 Months Ago
00:08:42 – Staying Invested in Small-Cap Momentum
00:09:02 – Why Hold a 19% Allocation to Gold?
00:12:05 – S&P 500 & Tech vs. Gold & Small-Caps: Why Diversify Now?
00:12:28 – Navigating High Market Return Expectations
00:13:18 – Biggest Market Risks for New Capital Today
00:13:52 – Market Pullback vs. Bear Market Crash Expectations
00:14:30 – Preparing Portfolios for Structural Volatility
00:14:43 – Rapid Fire: This or That
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Camera: Julian Pinto & Shawn Elias
Producers: Caroline Woods & Rebecca Mezistrano
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