Analyzing the market's puzzling reaction to Israel-Hamas ceasefire developments where oil and gold fell while the dollar strengthened amid broader market weakness. We explore why tech stocks showed resilience while energy stocks fell. Plus, insights on Amazon's potential undervaluation and trading strategies during geopolitical shifts.
Analyzing today's market pullback as the S&P 500 retreats amid Fed commentary. We examine Russell 2000's 1% decline, rising volatility, and unusual gold strength despite dollar gains. Plus, Japanese yen weakness following election results and natural gas breaking $4.00.
Tech stocks continue pushing markets higher with the Magnificent Seven leading momentum. We analyze Amazon's potential upside, Tesla's upcoming event expectations, and the puzzling strength in gold and silver despite rising yields. Plus, Bitcoin breaks out of its range and Japanese markets react to surprise leadership changes.
The Overtime hosts delve into the latest stock sell-off and examine trading strategies to navigate shifting price trends. They consider the case for a turn higher in the US dollar, whether gold prices have topped out, and how a durable risk selloff may happen for no discernable reason.
In this episode, Tom and Dylan discuss the implications of recent H-1B visa policies and their impact on innovation in the U.S. They argue that the proposed fees would create a barrier to attracting international talent, ultimately harming American competitiveness. They emphasize the importance of a diverse workforce and critique the notion that H-1B hires are cheaper than American counterparts. The conversation also touches on free speech issues and the emerging public dissent within the Republican Party against Trump’s policies.
In this episode of Options Trading Concepts Live, Nick Battista, Mikey Butler, and Glen Frybarger discuss market conditions, focusing on the performance of major indices and various trading strategies. The hosts analyze recent Federal Reserve comments and their impact on currency pairs, particularly the U.S. dollar, euro, and yen. They also explore trading costs associated with currency futures versus spot FX, emphasizing the importance of understanding interest rate differentials. Several trade ideas, including trades on Tesla (TSLA) and Applied Digital (APLD), are presented, alongside insights on straddles and strangles.
Liz and Jenny discuss their recent trades, focusing on SPX put spreads and their positions in Intel (INTC) and natural gas. They emphasize their strategy of selling put spreads and using defined risk trades like zebras for potential upside. The duo explores several viewer assumptions, highlighting bullish strategies on Exxon Mobil (XOM) and a downside ratio spread on Regetti (RGTI). They conclude with a recap of market conditions and their trading philosophy of swift adjustments in response to market movements.