First Call
Update: 2025-08-17
Description
Tom and Chris discuss the fluctuating market conditions as they anticipate a quiet opening. They highlight Friday's mixed trading, characterized by low volatility and high options volume, particularly in the S&P 500. Despite the uncertainty, they expect the upcoming expiration cycle in September to be active. Key earnings reports from retail stocks are on the horizon, yet they remain skeptical about immediate movements. The duo emphasizes the importance of monitoring implied volatility and market sentiment as they navigate their positions in bonds and equities.
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In Channel