Joel Elconin – Why Value and Energy are Winning the 2026 Market
In this daily editorial, we are joined by Joel Elconin, co-host of the PreMarket Prep Show and founder of the Stock Trader Network. As…
Peter Boockvar – Commodities, Volatility, and the Next Macro Shift
In this KE Report daily editorial, we are joined by Peter Boockvar, Chief Investment Officer at OnePoint BFG Wealth Partners and editor of The…
Joel Elconin – Earnings Season Playbook: Guidance, AI, & Big Bank Growth
In this KE Report daily editorial, we chat with Joel Elconin, co-host of the Pre-Market Prep show and founder of the Stock Trader Network….
Joel Elconin – Key Investing Themes In US Equity Markets For 2026
Joel Elconin outlines the key investing themes in US equity markets for 2026. We discuss the upcoming macroeconomic data that matters, and circle around to a number of market sectors, getting his outlook on whether we’ll see a continuation or a reversal in the prevailing trends.
Nick Hodge – A Stew Of Different Factors Fueling The Ongoing Commodities Supercycle In Silver, Gold, Uranium, Copper, and Lithium
Nick Hodge joins me for our monthly longer-format discussion on the stew of different macroeconomic factors, fueling the commodities supercycle in silver, gold, uranium, copper, lithium, and opportunities in their related resource stocks.
Craig Hemke – Strong Start To 2026 In Gold, Silver, and Copper – Macroeconomic Factors That Matter
Craig Hemke joins me to kick off the first full trading week of 2026, and the strong close last year, and even stronger start to this year in gold, silver, copper, and the precious metals stocks, and the macroeconomic factors that matter moving into 2026.
John Rubino – Silver Surges In A Full-On Santa Claus Rally To End This Week At All-Time Highs
John Rubino joins me for another nuanced discussion around the fundamental drivers, macro catalysts, and technical momentum pushing silver and the precious metals stocks to new all-time highs here at the end of 2025.
John Rubino – Have Silver And The PM Stocks Entered Into Their Long-Awaited Catchup Rallies?
John Rubino joins me for another nuanced discussion around the fundamental drivers, macro catalysts, and technical momentum factors that are driving silver and the precious metals stocks higher in 2025. Are we seeing the catchup trade in silver and the PM stocks, after many years of waiting for this type of environment?
Craig Hemke – Precious Metals Market Overview: Metals Coil, Q4 Setups & Seasonality
In this KE Report Daily Editorial, we chat with Craig Hemke, Founder and Editor of TF Metals Report Markets as markets are quiet and…
John Rubino – Trading Strategies – Anticipating Record Q3 Earnings Reports In Gold, Silver, and Royalty Stocks Juxtaposed With Recent Sector Weakness
John Rubino discusses portfolio trading strategies at this interesting point where gold, silver, and PM stocks have pulled back some after big moves to new all-time highs; but as the market anticipates strong record Q3 earnings reports from the producers and royalty companies.
Jordan Roy-Byrne – Technical Outlook On Gold And Silver, Cartoonish Cashflow For PM Producers, Searching For Holy Grail and Unicorn Resource Stocks
Jordan Roy-Byrne, CMT, MFTA, reviews his medium-term technical outlook for gold and silver, the cartoonish cashflow being generated by PM producers, and the search for “holy grail” and “unicorn” resource stocks with catalysts for value creation.
Sean Brodrick – Portfolio Strategies During The Pullback In Gold, Silver, Rare Earths, Antimony, and Energy Stocks
Sean Brodrick outline strategies for portfolio management during the pullbacks in gold, silver, antimony, rare earths, and energy stocks.
Joel Elconin – Pre-Market Recap: VIX Spike, Rate Cuts, and Rotations
In this pre-market Daily Editorial, we welcome back Joel Elconin, co-host of the Pre-Market Prep Show and founder of the Stock Trader Network. Joel…
Joel Elconin – Earnings Season Preview and Has The Market Lost It’s Momentum?
In this KE Report Daily Editorial, we’re joined by Joel Elconin, Co-Host of the PreMarket Prep Show and Founder of the Stock Trader Network,…
Joel Elconin – Trading the Moment in a Goldilocks Market: Inflation Risks, Fed Cuts, and Market Rotation
In today’s KE Report Daily Editorial (Friday, August 29), we welcome back Joel Elconin, co-host of the PreMarket Prep Show and founder of the…
John Rubino – Record Q2 Earnings Reports Fueling Gold, Silver, and Royalty Stocks To Higher Levels
John Rubino, with a wide-ranging discussion on the macroeconomic factors driving the hard assets higher, big reactions to record Q2 earnings reports from PM producers, and royalties stocks, and larger trends in gold and silver.
Sean Brodrick – Opportunities In Gold, Silver, Copper, and Lithium Stocks, Still Constructive On Drones, Rockets, and Utilities Stocks
Sean Brodrick outlines the macroeconomic implications of tariffs and geopolitics on the markets. He remains bullish on gold, silver, copper, and lithium stocks. He is also constructive on defense stocks in drones and rockets, and also accumulating utilities and energy efficiency companies.
Craig Hemke – If Current Macroeconomic Tailwinds Persist, Then There Will Be A Cattle-Call Stampeding Into Gold, Silver, And PM Equities
Craig Hemke, with a wide-ranging discussion on the macroeconomic market movers and a look ahead to a potential cattle call into gold, silver, and the precious metals equities. We also dig into the whipsaw copper pricing as a result of the Trump tariff policies, and where things may settle out.
Joel Elconin – Market Leadership, Retail Trading Trends & Earnings Season Insights
Joel Elconin, co‑host of the Pre‑Market Prep show and founder of the Stock Trader Network, joins us to break down the almost‑everything bull market…
John Rubino – Opportunities In Gold, Silver, and Royalty Stocks Within An Emerging Commodities Bull Market
John Rubino with a wide-ranging discussion on the macroeconomic factors driving the larger commodities sector higher, but then we vector in specifically on opportunities in the gold, silver, and royalties stocks, in lieu of underlying metals prices, Q2 earnings, and jurisdiction risk.