Michael Oliver – Precious Metals Will Benefit As The Largest Asset Bubble In History Continues To Pop
John Rubino – Q1 Earnings, Commercial Real Estate, De-Dollarization, Farm Land, Gold, and Uranium Stocks
Ed Moya – Did We Hit Peak Positive US Economic Data And How Will This Effect The Peak Fed Funds Rate?
Joel Elconin – Technical And Macroeconomic Outlook On Continued Range-Bound Trading In Markets
Joel Elconin reiterate a few macroeconomic data points and technical resistance levels that are key for investors to watch in these range-bound choppy markets.
John Rubino – Economic Data Continues To Be Weak, But Markets Keep Rallying Anyway
John Rubino reviews why most markets to keep rallying higher when the economic data points to the economy contracting into a recession.
Jordan Roy-Byrne – Recapping The Recent Bounce In Markets While Macro Signals Remain Mixed
Jordan Roy-Byrne, reviews what key macro factors or trends he is watching to inform Fed policy, and that would allow PMs to diverge from general equity markets.
TG Watkins – Technical Outlook On General Equities After The Recent July Rally In The Markets
TG Watkins reviews his technical on the rebound in many sectors in the month of July, and where resistance may come into play.
Joel Elconin – Thoughts On The Energy Sector, Inflation, Deflation, And A Rotation Back Into Growth
Joel Elconin discusses the energy sector, inflation, deflation, and a potential rotation starting back into growth stocks.
Ed Moya – Will We See A Bounce Soon In These Oversold Markets Or Is There More Pain In Store?
Ed Moya, Senior Market Analyst at OANDA discusses the overall pressure remaining on most market sectors, if we’ll see a further bounce.
Jordan Roy-Byrne – The Path Of Equities Bear Markets, Allows Gold To Decouple Into A Bull Market
Jordan Roy-Byrne joins us to discuss technical levels in the precious metals sector, and macroeconomic factors he is watching.
Craig Hemke – 2021-2022 Blooper Reel – Comedic Gold
Humorous blooper real and audio mash-up from several dozen of our pre-call and post-call discussions with Craig Hemke after a stressful week.
Craig Hemke – Macroeconomic Trends Are Playing Out As Expected But Getting Over-Stretched Here
Craig Hemke reviews the recent pullbacks across the board in general equities, bonds, and the precious metals and commodities.
John Rubino – A Myriad Of Macroeconomic Factors Pressure The Markets
John Rubino discusses the recent market pressure and selling across the board in many sectors
TG Watkins – Continuing To Play The General Markets With Short-Side Strategy
TG Watkins, Director of Stocks at Simpler Trading and editor at the Profit Pilot website, joins us to discuss why he is still trading these markets from the short-side.
John Rubino – Interest Rates, The Breaking Point In Fed Policy, US Dollar From Strength To Potential Collapse, And Gold
John Rubino, Founder and Editor of The Dollar Collapse website, joins us to discuss interest rates, Fed policy, US dollar strength and alternatives, and gold.
Mike Larson – Market Reactions To The 3 I’s – Inflation, Invasion, and Interest Rates
Mike Larson, Editor of The Safe Money Report, joins us to outline the primary forces acting on the markets through the lens of the 3 I’s: Inflation, Invasion, and Interest Rates.
Joel Elconin – Market Trends Post Fed Rate Hike And Quad Witching Options Expiration
Joel Elconin, Co-Host of the Benzinga PreMarket Prep Show and Editor of the PreMarketPrep.com website, joins us to review the continued volatility in the markets after the quadruple witching options expiration and Fed rate hikes.
Ed Moya – Looking At Turbulent Markets After The Fed Has Initiated It’s Rate Hiking Cycle
Ed Moya, Senior Market Analyst at OANDA, joins us to discuss the markets behavior after the Fed started it’s rate hiking cycle last week.
Dana Lyons – Outlook On US General Equities, Bonds, US Dollar, Gold, Bitcoin, And Commodities
Dana Lyons, Fund Manager and Editor of the Lyons Share, joins us to discuss the turbulent markets, through the lens of quantitative and technical analysis, and review which sectors look appealing for both long and short strategies.
Ed Moya – Sectors Moving In The Markets Based On Optimism For A Ukraine Resolution
Ed Moya, Senior Market Analyst at OANDA, joins us to understand the strong wave of optimism that the Ukraine tensions and talks are proceeding in a constructive manner, and how that is impacting the markets.
TG Watkins – A Review Of Which Market Sectors To Remain Cautious Or Short, And Which Sectors Have Performed Well In The Recent Volatility
TG Watkins, Director of Stocks at Simpler Trading and editor at the Profit Pilot website, joins us to discuss the continued volatility in these markets, and which areas he’s still shorting, contrasted against sectors that have run higher.
Jordan Roy-Byrne – 3 Signals That Would Confirm A Bullish Breakout In Gold Unlocking The Bullish Resolution Of The Cup & Handle Pattern
Jordan Roy-Byrne, Founder and Editor of The Daily Gold, joins us to outline 3 signals he is watching for to confirm the bullish breakout in Gold, and that the longer-term cup and handle chart pattern is starting to resolve to the upside.
John Rubino – Inflation, Fed Policy, US General Equities, Bonds, Gold As We Near Inflection Point
John Rubino discusses inflation, Fed policy, US general equities, bonds, gold, interest rates, and more as we near a major market inflection point.