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It's not always easy to take the measure of a market, whether you've been trading for a day or a decade. On this segment we look under the hood—options probabilities, volatility, trading strategies, futures, you name it—so your trading mechanics are built to manage more winners.
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Watch Tom and Tony light up the screens as the market kicks off its day. This is Tom and Tony's time to shine and unwind positions from the previous day. They also read the tape action to see what intraday trades can be made, and how the market is going to play out for the day.
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The tastylive network teaches investors innovative, simple ways to trade stocks, options, and futures, take advantage of market volatility and build a successful portfolio. Tom Sosnoff leads an irreverent and playful band of floor traders who are showing America a new way to quickly find low risk, high return strategies in bullish, bearish and sideways markets.
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Confessions Of A Market Maker brings 20 years of Wall Street educational trading experience, coupled with entertaining stories; both in and away from the markets. The podcast is Co-Hosted by former 20 year Market Maker, JJ (@vwaptrader1) & Poker Professional/trader, Ray (@AllxDayxRayx), who are occasionally joined by guests of high esteem in the industry. Confessions Of A Market Maker has quickly become one of the highest viewed and popular podcasts in the finance/trading space.
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Schaeffer’s Market Mashup

Schaeffer’s Investment Research

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Schaeffer’s Investment Research is thrilled to bring you the Schaeffer’s Market Mashup! Hosted by managing editor Patrick Martin, Patrick is joined by traders, analysts, and other dignitaries of the investing world. Episodes feature exclusive sit-downs about options strategies, the latest macro trends, and anything else that’s newsworthy in the stock market world.
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The S&P 500 is poised for a modest weekly gain despite a 0.09% dip. NASDAQ outperformed today, up 0.34%, while the Russell 2000 fell 1.72%. Bitcoin and Ether declined, whereas gold and silver rebounded. Concerns linger about bonds and volatility in Europe, with implications for global markets. Watchers anticipate Fed insights next week amid lower l…
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Chris Vecchio and Tony Battista discussthe market's stagnation, suggesting it was an "iron condor kind of day" with a focus on ZN, copper, and the Russell. Despite high volatility in the Russell, slow trading prevailed. PPI reports and a strong 30-year Treasury bond auction are notable, alongside mixed reactions to Broadcom's stock split. Trading s…
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Anton and Tony analyzed post-FOMC volatility patterns, using the VIX 1D as a predictive tool. They observed that, historically, SPX volatility often mirrors the VIX 1D's pre-FOMC level, influencing subsequent market moves. They highlighted that when VIX 1D closes lower, SPX averages a 36-point change, but a higher VIX 1D nearly doubles the movement…
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The S&P 500 is poised for a modest weekly gain despite a 0.09% dip. NASDAQ outperformed today, up 0.34%, while the Russell 2000 fell 1.72%. Bitcoin and Ether declined, whereas gold and silver rebounded. Concerns linger about bonds and volatility in Europe, with implications for global markets. Watchers anticipate Fed insights next week amid lower l…
  continue reading
 
Tim Knight discusses the importance of market breadth amid a NASDAQ rally driven by NVIDIA. He emphasizes that while NVIDIA dominates, the overall participation from other stocks is weak, which could signal underlying market vulnerabilities. Knight shares his strategy of holding bearish positions benefiting from low volatility. He also examines var…
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Jermal Chandler and Errol Coleman discuss their personal and trading experiences, including strategies on bonds, futures, and zero DTE options. They highlight the importance of multiple trading accounts, including "rogue" accounts for non-standard trades, and share insights on handling emotional challenges in trading and parenting. Coleman reflects…
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Jim Schultz returns to the show, recapping recent market developments and preparing for the upcoming options expiration week, highlighting the impact of recent CPI data and the FOMC meeting. He discusses current trades, market conditions, and strategies for future positions, emphasizing the importance of futures options. He engages with audience qu…
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European political concerns trigger market softness, echoing 2017's French election jitters. Despite strong earnings from Broadcom and Adobe, global macro risks are rising. Sovereign stress and weakening economic data, especially from China, signal potential downturns. Stocks, especially NASDAQ and S&P, remain stable but susceptible to political an…
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Liz Dyrdek and Jenny Andrews began by discussing Flag Day before transitioning to technical difficulties Jenny faced with time zone changes. They later analyzed cruise line stocks like Royal Caribbean (RCL) and Norwegian (NCLH), revealing a market dip. The duo also touched on recent trades, including SPX and meme stocks like GME and AMC. Joining th…
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Tony Battista, Scott Sheridan, and Anton Kulikov discuss poker strategies. Callers ask about IRAs, 401Ks, and stock and option strategies. Anton receives praise for his participation. The team discusses the ease of transferring accounts using ACATS. Tony teases Tom Sosnoff's OnlyFans launch. The call-ins cover order types, pre-market trading, and g…
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Anton Kulikov and Tony Battista discuss Tom's seasickness on a Mediterranean yacht, before diving into a CBOE-sponsored market measure on pairs trading. They discuss the correlation between gold and silver in strangles and iron condors, assessing diversification benefits versus potential risks. Analyzing 15 years of data, they conclude that such tr…
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Anton Kulikov and Tony Battista discuss Tom's seasickness on a Mediterranean yacht, before diving into a CBOE-sponsored market measure on pairs trading. They discuss the correlation between gold and silver in strangles and iron condors, assessing diversification benefits versus potential risks. Analyzing 15 years of data, they conclude that such tr…
  continue reading
 
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