Search a title or topic

Over 20 million podcasts, powered by 

Player FM logo
Artwork

Content provided by The Boyar Value Group. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by The Boyar Value Group or their podcast platform partner. If you believe someone is using your copyrighted work without your permission, you can follow the process outlined here https://podcastplayer.com/legal.
Player FM - Podcast App
Go offline with the Player FM app!

From Book Value To Brand Value. Bill Nygren On Why Modern Investing Requires Seeing Beyond The Balance Sheet

59:47
 
Share
 

Manage episode 517809443 series 2863409
Content provided by The Boyar Value Group. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by The Boyar Value Group or their podcast platform partner. If you believe someone is using your copyrighted work without your permission, you can follow the process outlined here https://podcastplayer.com/legal.

Episode Overview

In this wide-ranging conversation, legendary investor Bill Nygren discusses how value investing has evolved since the 1980s—and why the traditional valuation metrics many investors still rely on no longer adequately measure a company’s true worth. Nygren explains how intangibles like brand and customer acquisition costs have transformed the investing landscape, why accounting conservatism can obscure opportunity, and what he learned from Warren Buffett’s purchase of Coca-Cola decades ago.

This episode is a masterclass on adapting a classic investment philosophy for the modern age—combining rigorous analysis with intellectual flexibility.

Key Topics Covered

  • The evolution of value investing: Why old accounting methods fail to capture the true worth of modern businesses built on brands and technology.
  • The Coca-Cola revelation: How Buffett’s investment reshaped Nygren’s definition of value.
  • Why financials are misunderstood: Why Nygren sees opportunity in financials despite investor skepticism.
  • The hidden risk in the S&P 500: What investors are overlooking about today’s index concentration.
  • Airbnb, Merck, and Comcast: How to analyze quality businesses that the market misunderstands.
  • AI and investing: Why Nygren believes the biggest winners from AI won’t be chipmakers—but companies that use AI better.
  • Position sizing and discipline: How Nygren thinks about portfolio concentration and risk management.

--------------------------------------------------------------------------------------------------------------Featured Offer from Boyar Research

Before you dive back into the markets, make sure you take advantage of our limited-time 50% pre-order discount on The Forgotten Forty 2026 — Boyar Research’s flagship annual report featuring 40 catalyst-driven stock ideas for the year ahead.

Every company included has been deeply analyzed in a full-length Boyar Research report — the same research trusted by some of the world’s leading hedge funds, family offices, and institutional investors.

Learn more or pre-order here: boyarresearch.com/2026

Offer expires December 15.

--------------------------------------------------------------------------------------------------------------

Episode Highlights

  • “Conservatism in accounting often comes at the expense of accuracy.”
  • “Today’s value investor needs to think harder about intangibles.”
  • “Recommending the S&P 500 as a core holding may no longer be prudent—it’s become a concentrated tech bet.”
  • “Sometimes what you learn that can’t go in the spreadsheet ends up being the most valuable.”

--------------------------------------------------------------------------------------

Featured Companies

Coca-Cola, Comcast, Charter Communications, Airbnb, Merck, Bank of America, Citigroup, Capital One, First Citizens, and NVIDIA.

--------------------------------------------------------------------------------

About Bill Nygren

Bill Nygren is one of the most respected voices in value investing. As Portfolio Manager of the Oakmark Fund and Oakmark Select Fund, he’s built a track record of disciplined, long-term outperformance

Unlocking Investment Opportunities Since 1975

At the Boyar Value Group, we've dedicated nearly five decades to the pursuit of value on behalf of our clients. Founded in 1975, our firm has earned a reputation as a trusted source for uncovering undervalued opportunities in the stock market.

To find out more about the Boyar Value Group, please visit www.boyarvaluegroup.com

  continue reading

Chapters

1. Disclaimers And Opening (00:00:00)

2. Defining Modern Value Investing (00:01:15)

3. Intangibles And Adjusted Accounting (00:05:35)

4. Sponsor: The Forgotten 40 Preview (00:11:56)

5. Early Lessons From Cable TV Economics (00:12:10)

6. Cash, Liquidity, And Not Timing Markets (00:13:03)

7. Position Sizing In Two Oakmark Funds (00:15:02)

8. Normalizing Financials Across Industries (00:16:40)

9. Trimming Winners Versus Risk Control (00:18:44)

10. Sector Weights: Overweight Financials (00:20:14)

11. Trust, Opacity, And Bank Analysis (00:23:00)

12. Meetings That Focus On People (00:26:05)

13. Access To Management At Scale (00:28:45)

14. Macro Overlays And Time Horizons (00:29:30)

15. The Hidden Risk In Index Concentration (00:32:35)

16. Passive Flows And Portfolio Core (00:36:24)

17. Merck, Patents, And DCF Discipline (00:37:46)

18. Generalists, Specialists, And Edge (00:40:00)

19. Airbnb, SBC, And True Economics (00:42:05)

20. Founder Control And Alignment (00:45:05)

21. Cable Vs Fixed Wireless Reality Check (00:48:00)

22. Mistake Management Protocol (00:51:45)

23. Seven-Year Predictability Rule (00:54:20)

24. Can NVIDIA Avoid The Cisco Trap? (00:56:25)

25. Playing AI Through Users Not Arms (00:59:00)

31 episodes

Artwork
iconShare
 
Manage episode 517809443 series 2863409
Content provided by The Boyar Value Group. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by The Boyar Value Group or their podcast platform partner. If you believe someone is using your copyrighted work without your permission, you can follow the process outlined here https://podcastplayer.com/legal.

Episode Overview

In this wide-ranging conversation, legendary investor Bill Nygren discusses how value investing has evolved since the 1980s—and why the traditional valuation metrics many investors still rely on no longer adequately measure a company’s true worth. Nygren explains how intangibles like brand and customer acquisition costs have transformed the investing landscape, why accounting conservatism can obscure opportunity, and what he learned from Warren Buffett’s purchase of Coca-Cola decades ago.

This episode is a masterclass on adapting a classic investment philosophy for the modern age—combining rigorous analysis with intellectual flexibility.

Key Topics Covered

  • The evolution of value investing: Why old accounting methods fail to capture the true worth of modern businesses built on brands and technology.
  • The Coca-Cola revelation: How Buffett’s investment reshaped Nygren’s definition of value.
  • Why financials are misunderstood: Why Nygren sees opportunity in financials despite investor skepticism.
  • The hidden risk in the S&P 500: What investors are overlooking about today’s index concentration.
  • Airbnb, Merck, and Comcast: How to analyze quality businesses that the market misunderstands.
  • AI and investing: Why Nygren believes the biggest winners from AI won’t be chipmakers—but companies that use AI better.
  • Position sizing and discipline: How Nygren thinks about portfolio concentration and risk management.

--------------------------------------------------------------------------------------------------------------Featured Offer from Boyar Research

Before you dive back into the markets, make sure you take advantage of our limited-time 50% pre-order discount on The Forgotten Forty 2026 — Boyar Research’s flagship annual report featuring 40 catalyst-driven stock ideas for the year ahead.

Every company included has been deeply analyzed in a full-length Boyar Research report — the same research trusted by some of the world’s leading hedge funds, family offices, and institutional investors.

Learn more or pre-order here: boyarresearch.com/2026

Offer expires December 15.

--------------------------------------------------------------------------------------------------------------

Episode Highlights

  • “Conservatism in accounting often comes at the expense of accuracy.”
  • “Today’s value investor needs to think harder about intangibles.”
  • “Recommending the S&P 500 as a core holding may no longer be prudent—it’s become a concentrated tech bet.”
  • “Sometimes what you learn that can’t go in the spreadsheet ends up being the most valuable.”

--------------------------------------------------------------------------------------

Featured Companies

Coca-Cola, Comcast, Charter Communications, Airbnb, Merck, Bank of America, Citigroup, Capital One, First Citizens, and NVIDIA.

--------------------------------------------------------------------------------

About Bill Nygren

Bill Nygren is one of the most respected voices in value investing. As Portfolio Manager of the Oakmark Fund and Oakmark Select Fund, he’s built a track record of disciplined, long-term outperformance

Unlocking Investment Opportunities Since 1975

At the Boyar Value Group, we've dedicated nearly five decades to the pursuit of value on behalf of our clients. Founded in 1975, our firm has earned a reputation as a trusted source for uncovering undervalued opportunities in the stock market.

To find out more about the Boyar Value Group, please visit www.boyarvaluegroup.com

  continue reading

Chapters

1. Disclaimers And Opening (00:00:00)

2. Defining Modern Value Investing (00:01:15)

3. Intangibles And Adjusted Accounting (00:05:35)

4. Sponsor: The Forgotten 40 Preview (00:11:56)

5. Early Lessons From Cable TV Economics (00:12:10)

6. Cash, Liquidity, And Not Timing Markets (00:13:03)

7. Position Sizing In Two Oakmark Funds (00:15:02)

8. Normalizing Financials Across Industries (00:16:40)

9. Trimming Winners Versus Risk Control (00:18:44)

10. Sector Weights: Overweight Financials (00:20:14)

11. Trust, Opacity, And Bank Analysis (00:23:00)

12. Meetings That Focus On People (00:26:05)

13. Access To Management At Scale (00:28:45)

14. Macro Overlays And Time Horizons (00:29:30)

15. The Hidden Risk In Index Concentration (00:32:35)

16. Passive Flows And Portfolio Core (00:36:24)

17. Merck, Patents, And DCF Discipline (00:37:46)

18. Generalists, Specialists, And Edge (00:40:00)

19. Airbnb, SBC, And True Economics (00:42:05)

20. Founder Control And Alignment (00:45:05)

21. Cable Vs Fixed Wireless Reality Check (00:48:00)

22. Mistake Management Protocol (00:51:45)

23. Seven-Year Predictability Rule (00:54:20)

24. Can NVIDIA Avoid The Cisco Trap? (00:56:25)

25. Playing AI Through Users Not Arms (00:59:00)

31 episodes

All episodes

×
 
Loading …

Welcome to Player FM!

Player FM is scanning the web for high-quality podcasts for you to enjoy right now. It's the best podcast app and works on Android, iPhone, and the web. Signup to sync subscriptions across devices.

 

Copyright 2025 | Privacy Policy | Terms of Service | | Copyright
Listen to this show while you explore
Play