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Futures Edge Show: Finance Unfiltered with Jim Iuorio and Bob Iaccino
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Futures Edge Show: Finance Unfiltered with Jim Iuorio and Bob Iaccino

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Join market veterans Jim Iuorio and Bob Iaccino as they interview top-tier guests and draw on their combined 60+ years of experience in financial markets. Dive into compelling discussions on commodities, cryptocurrency, forex, futures, stocks, politics, and pop culture. They bypass the noise from traditional media and break down complex macroeconomics, price action, and policy impacts on markets and the economy, all in plain English. Jim and Bob make sense of what matters to you because it matters to them.
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AI isn’t coming for markets — it’s already here.In this episode of Futures Edge, Jim Iuorio and Bob Iaccino sit down with Nathan Powell, Founder & CEO of Deep Market Making, to explore how deep learning is quietly transforming bond markets, trading desks, and financial decision-making — far faster than most investors realize.Nathan shares his journey from Microsoft’s early deep-learning research to JP Morgan, where AI models beat traditional bond pricing systems and went live in production. From there, the conversation expands into bigger, more uncomfortable questions:- Will AI eliminate trading jobs — or redefine them?- Is the “edge” in markets shifting from execution to asking better questions?- Can AI optimize markets without causing dangerous alignment or crashes?- And what does this mean for younger generations choosing careers in a world where intelligence is automated?This episode goes well beyond investing. It’s about how humans coexist with exponentially improving machines, why finance may be the most under-AI’d industry of all, and why traders may need to think more like entrepreneurs going forward.Timestamps: Chapters00:00 Introduction and Housekeeping01:00 Nathan Powell's Background in AI and Finance03:59 The Role of AI in Trading and Market Predictions07:44 Human vs AI: The Future of Trading11:44 Deep Market Making: Applications and Future Plans14:24 AI's Pervasiveness and Its Impact on Employment17:16 Education and the Future Job Landscape20:54 Concerns About Technology and Its Effects on Society24:31 AI's Accuracy and Reliability in Financial Markets27:59 The Impact of AI on Various Sectors29:03 AI in Finance: A Game Changer29:52 Challenges in Quantitative Finance31:01 Measuring AI's ROI in Banking32:40 Optimizing Trading Strategies with AI37:00 Multi-Objective Optimization in Trading39:07 Addressing AI Fears and Misalignments42:08 The Future of AI and Financial Crashes44:07 Convergence of AI and Crypto
Markets are cracking… and gold is screaming higher.In this episode of Futures Edge, Jim Iuorio and Bob Iaccino are joined by William Rhind, President & CEO of GraniteShares ETFs, to unpack one of the strangest macro setups in years:Stocks selling off while yields rise, Japan’s bond market flashing warning signs, and precious metals surging as investors quietly reposition for a world defined by debt, de-dollarization, and geopolitical stress.Rhind explains why today’s gold move looks less like mania — and more like a structural reset driven by sovereign demand, weakening confidence in fiat reserves, and an under-allocation that still has room to run.Plus, the group dives into the next phase of the AI trade, the evolution of ETF investing, and whether Bitcoin is truly an alternative asset… or just another risk-on proxy.Timestamps: 00:00 Welcome + Sponsors02:40 Japan bond shock and global debt stress04:20 Are governments losing fiscal discipline?06:10 What would actually bring gold down?08:00 Tariffs, geopolitics, and why this selloff feels different11:30 Yen carry trade unwind — real risk or narrative?15:15 GraniteShares: ETF toolkit for modern markets20:45 What’s attracting investor flows right now? (AI still dominates)22:10 AI broadening into metals, miners, power, and infrastructure24:30 Boomers vs Gen Z: preservation vs accumulation investing29:40 Infrastructure as the missing key to housing affordability33:00 Gold & silver: sell signals or structural demand?37:15 Central banks, Switzerland refining flows, and control of reserves40:30 Is gold still under-owned at the retail level?46:00 Fed cuts, Powell’s exit, and political rate pressure52:30 Bitcoin: endorsement or simply investor demand?Follow along on social media: Twitter:    https://x.com/bob_iaccinoTwitter:   https://x.com/jimiuorioLinkedIn:  https://www.linkedin.com/in/bob-iaccino/LinkedIn:   https://www.linkedin.com/in/james-iuorio/Newsletter:  http://theunfilteredinvestor.com/This episode is sponsored by: Independence Ark: https://www.independenceark.com/Code: F U AmerGold https://www.amergold.com/Code; F U
The market narrative you think you’re trading might be the one that breaks your portfolio.In this episode of Futures Edge, Jim Iuorio and Bob Iaccino sit down with Michael Green (Chief Strategist & Portfolio Manager, Simplify Asset Management) for a wide-ranging conversation that connects the dots between Bitcoin’s structural problem, the controversy around the U.S. poverty line, gold/silver narrative trades, and the growing risk that passive investing distorts markets in ways traders aren’t prepared for.Michael explains why “divisible” isn’t the same as “elastic” (and why that matters for Bitcoin long-term), why the official poverty line may be radically outdated, and how modern markets can fail when liquidity disappears exactly when you need it. Plus: what he’s watching for 2026—from tariffs and fiscal dynamics to Taiwan/semiconductors and the geopolitics reshaping global capital flows.Timestamps: 00:00 Intro + sponsors01:03 Michael in Annapolis + Naval Academy story03:01 Bitcoin debate: divisible vs elastic money09:18 “Just in case we’re wrong?” BTC vs ETH/SOL11:53 The poverty line controversy: what people missed18:05 Absolute vs relative poverty (and why it matters)28:43 2026 outlook: tariffs, deficits, and volatility33:51 Silver & gold: narrative trades and momentum dynamics35:15 The Fed: rules vs discretion + unintended consequences39:51 2008: “cash became non-cash” and the liquidity spiral43:26 Passive investing: why the distortion matters48:15 China/Taiwan risk + semiconductors53:46 Gold as reserves diversification + de-dollarization incentives58:40 What Simplify does + how their ETF strategies workFollow along on social media: Twitter:    https://x.com/bob_iaccinoTwitter:   https://x.com/jimiuorioLinkedIn:  https://www.linkedin.com/in/bob-iaccino/LinkedIn:   https://www.linkedin.com/in/james-iuorio/Newsletter:  http://theunfilteredinvestor.com/This episode is sponsored by: Independence Ark: https://www.independenceark.com/Code: F U AmerGold https://www.amergold.com/Code; F U
The market looks fine… until you zoom out. In this monthly segment of Futures Edge, Jim Iuorio and Bob Iaccino sit down with Mike Arnold (UnfilteredInvestor.com) to break down the technical cracks forming beneath the surface—from repeated S&P price rejection and a weakening Nasdaq, to violent swings in silver and a fresh Percent B “buy” setup in gold.Inside this episode:- Why the S&P rally is struggling to push higher (momentum fading + rejection near key zones)- The weekly double-top risk and what a break could mean for a multi-week pullback- Nasdaq weakness vs S&P strength — the levels that matter and what would confirm a bigger correction- The Russell vs Nasdaq theme (and why “catch-up” could define 2026)- The Percent B Buy indicator explained (what it is, how it triggers, and how they use it)- Silver’s parabolic run → brutal drop: why vertical markets end fast, and what would rebuild bullish probabilities- Gold’s Percent B buy signal: upside targets, rollover zones, and where risk management kicks in- Crude oil breakout setup + next targets (and why the upper 60s can be “economic sweet spot”)- Under-the-radar AI/tech fatigue: names like Broadcom, Nvidia, Microsoft, Adobe, CRM and what the charts are signalingIf you trade, invest, or just want a cleaner read on what the market is actually doing (not what headlines say), this is the roadmap.Timestamps: 00:00 Intro + sponsors02:30 S&P: momentum fading + key weekly level07:30 Percent B Buy: how the signal works15:50 Russell: head & shoulders + what invalidates downside18:30 Russell vs Nasdaq ratio trade (2026 theme)22:00 Nasdaq: breakdown zones + what would flip bullish26:20 Silver: overextension, rollover zones + key reclaim level34:10 Gold: Percent B buy signal + targets and stops38:20 Crude: breakout, pullback longs, next upside targets55:30 10Y/30Y yields: inverse H&S + what’s next56:00 AI/tech under the surface: AVGO/NVDA/MSFT/ADBE/CRMDisclaimer: This content is for informational/educational purposes only and is not financial advice.Follow along on social media: Twitter:    https://x.com/bob_iaccinoTwitter:   https://x.com/jimiuorioLinkedIn:  https://www.linkedin.com/in/bob-iaccino/LinkedIn:   https://www.linkedin.com/in/james-iuorio/Newsletter:  http://theunfilteredinvestor.com/This episode is sponsored by: Independence Ark: https://www.independenceark.com/Code: F U AmerGold https://www.amergold.com/Code; F U
Gold and silver are ripping higher—so is this move getting “ridiculous,” or are we still early? On The Futures Edge, Jim Iuorio and Bob Iaccino sit down with Shana Orczyk Sissel (Founder & CEO, Bannerman Capital) to break down what’s driving the latest metals surge, why global reserves may be shifting from U.S. Treasuries to gold, and what could actually stop this trade.They dig into:- Why de-globalization and geopolitical shifts may be fueling central bank gold buying- Silver’s catch-up trade and how traders think about crowded positioning vs secular trends- The physical gold debate: ETFs vs delivery—and why “audit risk” matters- The Japan risk discussion and what a bigger bond/FX shock could mean for markets- Shana’s contrarian view on private credit (why “the big guys” may not be the safest) + how interval funds fit in- Her approach to the AI trade: “picks-and-shovels” infrastructure names like Nvidia and Marvell, plus a second-wave idea (fiber optics / Corning)- A rapid-fire take on consumer discretionary, small caps (Russell vs S&P 600), and what could matter most in 2026If you’re watching gold, silver, Bitcoin, macro risk, or the next stage of AI investing—this one’s for you.Timestamps:00:00 Intro + sponsors03:30 Gold & silver surge—ridiculous or runway?06:00 What could actually knock gold lower? (audits, physical supply, positioning)13:10 Private credit: where the real opportunity is18:30 AI trade: Nvidia/Marvell + the next winners (Corning/fiber)22:30 Consumer discretionary debate29:00 Small caps vs tech + why S&P 600 may beat RussellFollow along on social media: Twitter:    https://x.com/bob_iaccinoTwitter:   https://x.com/jimiuorioLinkedIn:  https://www.linkedin.com/in/bob-iaccino/LinkedIn:   https://www.linkedin.com/in/james-iuorio/Newsletter:  http://theunfilteredinvestor.com/This episode is sponsored by: Independence Ark: https://www.independenceark.com/Code: F U AmerGold https://www.amergold.com/Code; F U#Gold #Silver #Bitcoin #Macro #CentralBanks #Treasuries #PrivateCredit #AI #Nvidia #Marvell #Corning #Investing #FuturesEdge
Chicago can’t go bankrupt… and the Fed is “not doing QE” while buying tens of billions in Treasuries to keep the funding markets from cracking. So what happens next: higher inflation, higher long rates, and a steeper yield curve — or a policy pivot that no one wants to admit?In this episode of the Future’s Edge, Jim Iuorio and Bob Iaccino are joined by Jim Bianco (Bianco Research) for a fast, blunt conversation on what’s really happening beneath the headlines:What we cover:- Chicago’s fiscal trap: why investors still buy Chicago bonds, and the Chicago Public Schools as a massive junk issuer- The real issue: Illinois’ constitution and why “no Chapter 9” changes everything- Why 40% of Chicago’s budget is effectively paying for the past (pensions, retiree healthcare, and debt service)- Two alarming datapoints: 911 call response deterioration and low murder clearance rates- The Fed’s “Reserve Management Purchases” (RMP): why it looks and behaves like QE even if the label changes- Repo market stress explained in plain English: how funding the Treasury market actually works- The bigger problem: a $38T Treasury market growing alongside persistent deficits- Fiscal dominance: why “issue more T-bills and cut rates to 1%” is a hand-grenade strategy- Rates & the long end: why Bianco sees the curve steepening and long-term yields staying pressured- AI and jobs: productivity vs disruption, and why the timeline may be longer than the hype suggests- Population growth shock: what negative net immigration could mean for payroll expectations and markets- Bitcoin & crypto: why Bianco is long-term bullish — and why he thinks the space “loses the plot” when it chases short-term “number go up”If you want a clear, no-BS walkthrough of why the Fed is intervening, why deficits matter, and why long rates may not come down the way most expect, this one’s for you.Follow/Find Jim Bianco: @biancoresearchhttps://www.biancoresearch.com/Follow along on social media: Twitter:    https://x.com/bob_iaccinoTwitter:   https://x.com/jimiuorioLinkedIn:  https://www.linkedin.com/in/bob-iaccino/LinkedIn:   https://www.linkedin.com/in/james-iuorio/Newsletter:  http://theunfilteredinvestor.com/Chapters: 00:00 Intro + why this episode matters02:00 Chicago bonds, pensions, and “why anyone buys this paper”05:00 Where it ends: services cut to pay the past11:00 Why cities mattered historically — and why that’s changing14:40 “Not QE” explained: Reserve purchases & how the Fed creates money18:30 Repo market stress + financing the Treasury machine20:50 Deficits, inflation, and the Fed as enabler35:10 Population growth, immigration, and payroll math39:10 Stagflation risk + why 3% inflation doesn’t “fix” affordability41:20 Fiscal dominance + the long end and steepener trade45:00 Bitcoin: adoption, disruption, and why the real enemy isn’t ETH
Mike Arnold returns to the Futures Edge for his monthly segment to discuss the current state of the financial markets, focusing on technical analysis, political impacts, and sector performance. They explore the volatility in the market, the significance of upcoming Supreme Court rulings, and the performance of various indices, including the NASDAQ and Dow. The conversation also delves into commodities like gold, silver, and crude oil, as well as stock analysis for major companies like Google and AMD. The hosts emphasize the importance of risk management and market sentiment in trading strategies, providing insights for investors looking ahead to 2026.Takeaways:- The market is showing signs of volatility and potential pullbacks.- Technical analysis is crucial for predicting market movements.- Political decisions can significantly impact market stability.- Sector performance varies, with NASDAQ lagging behind other indices.- Risk management strategies are essential in uncertain markets.- Commodity prices are influenced by geopolitical events.- Gold and silver are currently in a volatile state.- Stock performance can be affected by broader economic indicators.- Consumer discretionary stocks may outperform in the near future.- Understanding market sentiment is key to successful trading.Chapters:00:00 Introduction and Market Overview03:02 Technical Analysis of S&P and Market Trends05:34 Political Implications on Market Dynamics08:48 Market Predictions and Economic Indicators11:35 Sector Analysis: NASDAQ vs. Dow14:39 Commodity Insights: Crude Oil and Gold25:53 Market Patterns and Predictions29:01 Analyzing Gold and Silver Trends34:10 Stock Analysis: Google and Beyond42:31 Exploring Consumer Discretionary Stocks49:05 Banking Sector Insights
America spends more than ever on education—yet most students are falling behind. Why? And what can actually fix it?Dr. Keri Ingraham, Senior Fellow at the Discovery Institute and one of the nation’s leading voices on education reform, exposes what’s broken in U.S. education—and what real solutions look like.Dr. Ingraham shares firsthand insight from her visits to the White House, explains why 7 out of 10 American students can’t read or do math at grade level, and outlines why centralized bureaucracy has failed parents, teachers, and kids alike.What You'll Learn in this episode of the Futures Edge with Jim Iuorio and Bob Iaccino: - Why dismantling the U.S. Department of Education could improve outcomes immediately- How school choice, micro-schools, and industry-specific high schools are changing lives- Why teacher unions protect bad incentives—and punish excellence- The real data behind “defunding education” claims- How AI and workforce-aligned education can prepare kids for the future- Why parents—not bureaucrats—must control education decisions- What states like Indiana, Arizona, and New Hampshire are doing differently- How education failure impacts economic competitiveness, markets, and national securityThis is not a political conversation—it’s a policy and accountability conversation with massive implications for families, taxpayers, and the future workforce.If you care about:✔ Your kids’ education✔ Economic freedom and innovation✔ Workforce readiness✔ Long-term market and societal stability…this is an episode you can’t afford to miss.Learn more or support Dr. Ingraham’s work at the Discovery Institute:👉 https://www.discovery.org/education/donate
What if the cultural battles of the last decade — DEI, BLM, campus politics, “woke capitalism,” and corporate virtue signaling — weren’t organic at all, but manufactured chaos that finally hit its breaking point?In this explosive episode of Futures Edge, hosts Bob Iaccino and Jim Iuorio sit down with one of the sharpest, most fearless cultural analysts in America: Professor Wilfred Reilly — political scientist, data-driven truth-teller, and author of Hate Crime Hoax, Taboo, and Lies My Liberal Teacher Told Me.Reilly brings the fire right away — from the fall of DEI in corporate America, to the hypocrisy of COVID-era politics, to the real origins of campus radicalism and why the University of Illinois mascot controversy was “the precursor to BLM, Antifa, and all the BS we’re dealing with today.”This episode is packed with sharp commentary, humor, uncomfortable truths, and the kind of clarity you only get from someone who lives in both academia and the real world.Timestamps: 00:00 – Introduction & Housekeeping  02:30 – Food Conglomerates + Gold Investment  05:00 – Introducing Wilfred Reilly & His Books  10:00 – University of Illinois & the Chief Illiniwek Controversy  20:00 – DEI and Corporate America  30:00 – Racism, Data & Cultural Observations  40:00 – Single Motherhood, Family Dynamics & Society  50:00 – Transgender Issues in Sports & Public Debate  60:00 – Conclusion & Sponsor AcknowledgmentsFollow along on social media: Twitter:    https://x.com/bob_iaccinoTwitter:   https://x.com/jimiuorioLinkedIn:  https://www.linkedin.com/in/bob-iaccino/LinkedIn:   https://www.linkedin.com/in/james-iuorio/Newsletter:  http://theunfilteredinvestor.com/This episode is sponsored by: Independence Ark: https://www.independenceark.com/Code: F U AmerGold https://www.amergold.com/Code; F U
What if the most important market move happening right now… isn’t the one you’re watching?In this month's technical analysis segment with Mike Arnold, Chief Strategist of Path Trading Partners—and the guy Jim says “basically directs almost all my investments at this point.” Today, he joins Jim Iuorio and Bob Iaccino for another no-BS, caffeine-fueled breakdown of what’s actually happening beneath the charts.In this episode of the Futures Edge, we dive straight into the volatility storm:🔹 Bitcoin’s steep multi-week selloff — and whether a true double bottom is forming🔹 Why this correction may be the most significant since crypto’s early days🔹 How Bitcoin is dragging (or decoupling from) the NASDAQ🔹 What level could trigger MicroStrategy pain and broader capitulation🔹 NASDAQ’s technical setup, percent-B buy signals, rotation zones & next targets🔹 S&P outlook, key support zones, and whether equities are still in a bubble🔹 The dollar debasement trade — and why investors are being forced into risk assetsMike breaks down the exact levels he’s watching — what confirms a double bottom, what triggers it, and why those two things are very different. If you’ve ever wanted to understand how pros use technicals in real time, this is your episode.And yes… Jim had way too much caffeine. Topics We Cover:00:00 – Jim introduces Mike & today’s chaos01:30 – Bitcoin setup: the potential double bottom explained05:00 – MicroStrategy risk + capitulation zones06:30 – Why this crypto selloff actually matters07:45 – Did Bitcoin drag the NASDAQ down?10:00 – Trigger vs confirmation in double-bottom patterns12:45 – NASDAQ levels, rotation zone, and percent-B buy signal16:00 – Dollar debasement as an equity trade17:00 – Audience Q&A Follow along on social media: Twitter:    https://x.com/bob_iaccinoTwitter:   https://x.com/jimiuorioLinkedIn:  https://www.linkedin.com/in/bob-iaccino/LinkedIn:   https://www.linkedin.com/in/james-iuorio/Newsletter:  http://theunfilteredinvestor.com/This episode is sponsored by: Independence Ark: https://www.independenceark.com/Code: F U AmerGold https://www.amergold.com/Code; F U
Are you blindly trusting passive investing? Seth Cogswell of Running Oak Capital unpacks the hidden risks of passive investing, market momentum, and why diversification might not be what you think. Passive investing often ignores risk, while momentum strategies dominate and valuations drift from fundamentals. Bitcoin’s legitimacy is questioned, and recent market swings show why focusing on risk-adjusted returns—and balancing growth and value—is essential to avoid major drawdowns.On this episode of Futures Edge, you'll learn: - Why “buy and hold” isn’t always safe- The dangers of overcrowded large-cap growth stocks- How passive investing ignores real risk and behavioral patterns- Bitcoin, Ponzi schemes, and why scarcity doesn’t guarantee value- Strategies for thinking critically about your investmentsTimestamps: 00:00 Introduction and Background of Guests02:58 Economic Policies and Stimulus Checks05:51 The Impact of Passive Investing08:21 Concerns About Market Efficiency11:08 The Risks of Passive Investment Strategies13:58 Understanding Risk and Investment Goals17:00 Behavioral Patterns in Investing24:31 Understanding Risk in Investment Strategies25:32 Bitcoin: A Double-Edged Sword27:22 Bitcoin and Ponzi Scheme Comparisons29:14 The Future of Bitcoin: Adoption and Value33:58 Portfolio Structuring for the Next Decade40:23 Navigating Market Volatility and Investment StrategiesThis episode is sponsored by: Independence Ark: https://www.independenceark.com/Code: F U AmerGold https://www.amergold.com/Code; F U
When veteran macro analyst Luke Gromen joins Jim Iuorio and Bobby Iaccino on Futures Edge, you know it’s going to get real. From China’s dominance in rare earths to the Fed’s quiet monetary pivots, Luke breaks down why the U.S. financial system is at a breaking point — and what assets (like gold and Bitcoin) might actually survive it.In this episode, - Is America “screwed”?- Why the bond market’s days are numbered- How decades of offshoring reshaped the middle class- The silent war between Treasury policy and real assets- Bitcoin vs. Gold: Which wins in the next liquidity cycle?This is one of the most insightful macro conversations you’ll hear this year — equal parts sobering and sharp.Timestamps:00:00 Introduction and Context of the China Trade Deal01:52 The Impact of China on the U.S. Economy04:37 Quantitative Easing and Its Implications07:27 Bitcoin vs. Gold: A Comparative Analysis11:18 The Future of Gold and Bitcoin in Investment Portfolios14:23 Political Implications for Bitcoin and Gold18:15 Risks and Challenges Facing Bitcoin26:10 Crypto Community and Political Influence27:27 Tech Stocks and China Ownership28:05 US-China Trade Relations and Tech Stocks31:42 Gold and Bitcoin as Safe Havens34:11 AI and the Tech Bubble40:57 Future of the Federal Reserve43:30 Impact of AI on Employment and EconomyFollow along on social media: Twitter: https://x.com/bob_iaccinoTwitter: https://x.com/jimiuorioLinkedIn: https://www.linkedin.com/in/bob-iaccino/LinkedIn: https://www.linkedin.com/in/james-iuorio/Newsletter: http://theunfilteredinvestor.com/
Are the markets showing cracks—or just catching their breath? Mike Arnold returns for his monthly technical analysis segment to break down the latest technical trends in the S&P, NASDAQ, and Gold.Topics covered:- The truth about the “rotation zone” and how to trade around it- Why the S&P may be due for a pullback — and what levels to watch- The AI & MAG7 rally — bubble territory or bull momentum?- Understanding psychological price levels (hint: it’s math, not emotion)- Why the NASDAQ’s meteoric rise could face a snapback- The growing case for physical gold & silver in uncertain marketsJim and Mike share decades of market experience, from the dot-com bubble to today’s AI mania, offering practical trading insights and risk management strategies for investors navigating today’s volatile environment.Timestamps:00:01 – Introduction & Sponsors 00:39 – Hosts check-in01:01 – S&P Technical Breakdown Begins02:52 – Explaining Rotation Zones (8 & 21 EMAs)03:42 – Bull Chart Analysis & Key Levels05:59 – Short-term 60-minute S&P Analysis07:43 – Key Resistance Levels & Round Numbers Explained10:13 – Transition to Nasdaq & AI Mania Discussion11:01 – Nasdaq Weekly Chart Insights & Bubble Considerations12:47 – Market Caution: Bulls, Bears & Greed15:41 – Monthly Chart Perspective & Reward-to-Risk Analysis18:35 – Gold Analysis Introduction & Market Context21:21 – Gold Monthly & Weekly Patterns Explained24:36 – GDX (Gold Miners ETF) Technical Setup27:20 – Copper Market Analysis & Key Bounce Levels31:07 – Silver Technical Breakdown & Targets34:48 – Dollar Index Overview & Critical Levels36:53 – Dollar Index Implications for Other MarketsFollow along on social media: Twitter: https://x.com/bob_iaccinoTwitter: https://x.com/jimiuorioLinkedIn: https://www.linkedin.com/in/bob-iaccino/LinkedIn: https://www.linkedin.com/in/james-iuorio/Newsletter: http://theunfilteredinvestor.com/
What if everything you’ve been told about diet, cholesterol, and heart disease is wrong? Dr. Philip Ovadia (@ifixhearts) — a board-ceretified cardiac surgeon, founder of Ovadia Health and author of “Stay Off My Operating Table” — uncovers the real root causes of modern health issues. From insulin resistance and the fasting myth to the truth behind cholesterol and statins, Dr. Ovadia breaks down how your diet, metabolism, and mental health are all connected. You’ll learn:- Why fasting shouldn’t make you cranky — and how to do it rightThe shocking truth about insulin resistance and chronic disease- How the “carnivore diet” may actually protect your heart - Why 75% of heart attack patients have “normal” cholesterol levels- What doctors get wrong about LDL and statinsFollow along on social media: Twitter: https://x.com/bob_iaccino Twitter: https://x.com/jimiuorio LinkedIn: https://www.linkedin.com/in/bob-iaccino/ LinkedIn: https://www.linkedin.com/in/james-iuorio/ Newsletter: http://theunfilteredinvestor.com/
Mike Arnold returns for his monthly technical analysis segment to break down the latest craziness in AI stocks, AMD, Nvidia, and the broader market. From S&P valuations hitting extreme levels to gold, silver, platinum, and even copper surging, they unpack where the markets might be heading—and when a pullback could hit. Learn how to read rotation zones, spot topping patterns, and navigate over-leveraged markets like a pro. Whether you’re trading stocks, commodities, or metals, this episode gives a front-row seat to market dynamics and actionable insights you won’t find anywhere else.Key Topics Covered:- AI stock mania & AMD/Nvidia circular deals- S&P valuations & CAPE ratio comparisons to 2000- Gold, silver, platinum, and copper market trends- Technical analysis: rotation zones, bounce patterns, and key signals- Strategies for cautious buying and managing risk in volatile marketsTIMESTAMPS:00:00 Introduction and Context02:43 Market Mania and Valuation Concerns05:37 Technical Analysis and Market Signals08:28 Gold and Precious Metals Overview11:43 Crude Oil Market Dynamics14:34 Emerging Trends in Palladium17:34 Conclusion and Future Outlook29:39 Exploring Precious Metals: Platinum and Palladium33:17 Copper: Long-Term Bullish Perspectives38:23 The Dollar's Resilience and Market Dynamics40:02 Gold's Mania Phase: Understanding Market Sentiment45:30 Analyzing Individual Stocks: Palantir and AMD48:55 Sector Rotation Strategies in Trading
Markets are shifting, economies are under pressure, and the future of trading has never been more complex—or more fascinating. In this episode, hosts Jim Iuorio and Bobby Iaccino break down the latest trends in markets, trading, and economic policies, exploring how inflation, political decisions, and global dynamics shape investment strategies. From the movement of crude oil and gold to the evolving landscape of Bitcoin, they dive into technical trading insights, seasonal market patterns, and the critical intersection of health, wellness, and economic stability. Listeners gain a deeper understanding of market dynamics, the relative strength of the dollar, and the human impact behind job losses.TIMESTAMPS:00:00 Introduction to Markets and Health02:23 Exploring Addiction Recovery and Wellness05:15 Market Trends and Seasonal Analysis08:14 Technical Analysis and Trading Strategies11:11 Crude Oil Market Dynamics14:04 Inflation and Economic Indicators17:07 Regulatory Challenges in Energy Production20:09 The Rise of Platinum and Market Substitutions27:53 The Rise of Platinum: Market Insights29:57 Investment Strategies: ETFs vs. Futures30:55 Upcoming Events: New Orleans Investment Conference31:48 Political Landscape: Trump and Economic Policies33:39 Spending and Economic Health: A Critical Analysis35:53 Immigration and Labor Market Dynamics38:42 The Impact of Regulations on Employment40:38 Gold and Bitcoin: The Future of Currency48:34 The Dollar's Value: A Global PerspectiveFollow along on social media: Twitter: https://x.com/bob_iaccinoTwitter: https://x.com/jimiuorioLinkedIn: https://www.linkedin.com/in/bob-iaccino/LinkedIn: https://www.linkedin.com/in/james-iuorio/Newsletter: http://theunfilteredinvestor.com/
Retirement planning isn’t broken—it’s rigged.Paul Sippil joins the Futures Edge with Bob Iaccino to expose the hidden fees, conflicted incentives, and lack of accountability baked into the 401k industry. They dive deep into forensic retirement consulting, a practice that helps participants and employers uncover where their money is really going, while questioning the role of advisors, oversight, and economic policies that continue to erode capitalism.TAKEAWAYS: - The 401k industry lacks transparency and accountability.- Forensic retirement consulting educates clients about hidden fees.- Advisors often benefit from commissions without adequate service.- Self-directed brokerage accounts can help participants avoid fees.-Law firms often face high fees due to poor advisor oversight.TIMESTAMPS:00:00 Introduction and Sponsorship02:42 Health and Wellness through Community Dining05:36 Crime and Safety in Chicago09:40 Forensic Retirement Consulting Explained17:34 Understanding 401k Fees and Transparency22:31 The Overpayment Dilemma in Financial Advisory24:14 Opting Out: Self-Directed Accounts and Fee Structures26:43 Empowering Participants: Knowledge is Key27:51 Understanding the Ideal Client: Who Needs Help?29:04 The Future of Financial Advisors: AI and Automation30:21 Law Firms and Financial Mismanagement: A Case Study32:10 Corporate 401k Plans: Are They Worth It?33:31 The Struggles of Communication: Understanding Advisors' Roles36:14 Facing Backlash: The Risks of Challenging the Status Quo38:29 Private Credit in 401k Plans: A Cautious Outlook40:02 Economic Perspectives: The Current Landscape44:17 Connecting with Paul: How to Reach Out
America is at a crossroads—politically, economically, and personally. Shannon Joy, host of The Shannon Joy Show, joins the Futures Edge with Jim Iuorio and Bobby Iaccino for a raw, thought-provoking conversation that dives into the issues shaping our lives today. From the impact of COVID-19 lockdowns and the rise of government overreach, to the hidden costs of processed foods and the debate over health and nutrition, nothing is off the table.Shannon shares her candid perspective on Trump’s presidency, the failures of the two-party system, and why she believes local politics matter more than national headlines. The trio also explores the role of gold as a hedge against economic uncertainty, the dangers of political corruption, and the fight for personal freedom in an age of misinformation.This is not your typical political debate—it’s an unfiltered exchange of ideas that challenges assumptions, sparks critical thinking, and reminds us that finding common ground is more urgent than ever.What You’ll Hear:- Shannon emphasizes the importance of local politics over national issues.- Investing in gold is seen as a hedge against economic instability.- The conversation highlights the challenges of the two-party political system.- Shannon argues that both political parties are complicit in government corruption.- Shannon believes that many Americans are misled by political narratives.- The discussion touches on the addictive nature of processed foods.TIMESTAMPS:00:00 Introduction and Housekeeping02:19 Health and Nutrition Perspectives05:08 Investing in Gold and Economic Concerns07:51 Political Dynamics and Accountability10:44 The Role of Power and Control in Politics13:29 The Nature of Political Figures16:24 Conspiracy Theories and Political Manipulation19:01 The Shift in Political Power Dynamics26:15 Economic Consequences of Tariffs and Spending28:01 The Military and Police State Dynamics30:23 The Two-Party System and Political Paradigms32:03 The Role of Propaganda in Politics33:56 COVID-19 Lockdowns and Government Response41:26 Local Politics and Community Empowerment
Markets are at a crossroads — stocks are volatile, commodities are sending mixed signals, and crypto faces uncertainty. Mike Arnold joins Jim Iuorio and Bobby Iaccino for his monthly Futures Edge segment to break down the latest market movements. They analyze major indices like the S&P and NASDAQ, track trends in gold, copper, and platinum, and uncover the technical factors driving momentum. The look atthe Russell index’s strength, gold’s bullish potential, and key levels for copper and platinum to confirm upward trends. They also examine Bitcoin and Ethereum, weighing short-term risks and possible corrections, while exploring nuclear energy as a compelling long-term investment. With perspectives on yields, financials, and what could spark the next market rally, this episode offers a clear, timely roadmap for both opportunities and risks in today’s markets.TAKEAWAYS:- Significant volatility is shaping the stock market. Gold is showing bullish patterns, signaling growth potential.- The Russell index is outperforming, highlighting strength in smaller companies.- Bitcoin may face near-term pressure, while Ethereum shows potential for adjustment.- Copper is trending upward, with important support levels to monitor.Platinum must surpass 1421.3 to confirm bullish momentum. -Nuclear energy represents a promising long-term play.TIMESTAMPS:00:00 Introduction and Personal Updates02:32 Market Overview and Technical Analysis05:23 Gold Market Insights08:15 Stock Market Trends and Predictions10:30 Focus on Russell and Micro Caps13:24 Tech Stocks: Nvidia and Broadcom16:31 Bitcoin and Ethereum Analysis28:07 Analyzing Chewy's Market Potential32:41 Exploring Copper and Platinum Trends37:27 The Future of Nuclear Energy Investments42:29 Financial Sector Insights and Market Dynamics
How do you build a portfolio that doesn’t just survive volatility—but thrives in it? Jeff Sarti, CEO of Morton Wealth, joins the Futures Edge with Jim Iuorio and Bobby Iaccino for a masterclass in resilient investing. Jeff unpacks why diversification is so often misunderstood, how to weigh gold against Bitcoin in today’s landscape, and what investors must understand about inflation, Fed policy shifts, and the evolving role of private credit. This isn’t just theory—it’s actionable insight for anyone looking to strengthen their portfolio, elevate their financial decision-making, and engage more intentionally in wealth planning. Whether you’re trading the markets or investing for the long term, Jeff’s perspective will reframe how you approach risk, resilience, and protecting your financial future.What You'll Learn In This Episode: - Diversification is widely misunderstood but essential for resilience.- Gold remains a core asset—despite the rise of Bitcoin.- Liquidity and financial engineering drive markets more than many realize.- Private credit offers opportunities, but not without risks.- Inflation should reshape your investment strategy.TIMESTAMPS:00:00 Introduction and Weather Talk02:14 Overview of Morton Wealth03:39 Market Analysis and Investment Strategies07:36 Diversification and Asset Allocation10:08 Gold vs. Bitcoin: A Comparative Analysis19:11 The Role of Gold in Modern Finance21:15 Private Equity and Asset-Based Lending27:48 Current Economic Climate and Fed Policies28:22 The Political Landscape of Jerome Powell30:36 Dovish or Hawkish? The Fed's Future Direction32:50 The Impact of Interest Rates on the Economy37:23 Housing Market Dynamics and Rate Cuts39:01 The Role of Financial Education in Wealth Management50:16 Private Credit: Risks and OpportunitiesFollow along on social media: Twitter:    https://x.com/bob_iaccinoTwitter:   https://x.com/jimiuorioLinkedIn:  https://www.linkedin.com/in/bob-iaccino/LinkedIn:   https://www.linkedin.com/in/james-iuorio/Newsletter:  http://theunfilteredinvestor.com/
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