Real Vision: Finance & Investing is a broad market feed with a sharp bias toward what matters next for investors. It does not stay in one lane. A week can move from Iran-related volatility and inflation pressure to crypto cycle calls, AI stock narratives, OpenAI funding, Claude product news, and supply-chain implications. The format changes by segment, but the underlying habit stays consistent: take the catalyst, test the market implication, then add the caveat. Macro Mondays brings a guided, conversational sweep across Iran, CPI, tradable regions, supply chains, and portfolio positioning. The AI-focused episodes treat artificial intelligence as both a technology story and a capital-market story. Claude leaks, OpenAI valuation claims, AI-generated media, Rivian assistants, pharma partnerships, NVIDIA, ARM, and user-built dashboards all become ways to ask where money, compute, and expectations are flowing. The crypto conversations are looser and more sentiment-sensitive. They talk through selloffs, Bitcoin weakness, global liquidity, mid-cycle correction debates, and the way war risk can dominate an otherwise crypto-specific show. The tone is brisk. It can be blunt, sometimes playful, and often cautious in the same breath. The best moments come when the speakers resist certainty, especially around negotiations, liquidity, and whether a market move is signal or noise. This is not beginner education dressed up as finance content. It assumes the listener can follow references to global M2, smart alpha rotations, AGI arguments, and allocation decisions. Still, the conversations usually translate jargon back into investor consequences. The show is strongest for financially curious listeners who want market people thinking out loud under pressure. It is less polished than a scripted research product, but that is part of the texture. The result is a live-feeling briefing stream where macro, AI, and crypto keep colliding with real portfolios.