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, 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 discusses inflation, Fed policy, US general equities, bonds, gold, interest rates, and more as we near a major market inflection point.
Dave Erfle discusses the wild swings in volatility in most markets after the FOMC meeting earlier this week, and the lack of interest from generalists in holding gold as a safe haven or in precious metals stocks.
Marc Chandler joins us to share his 2022 outlook on the general markets in relation to the Fed monetary policy, interest rates, currencies, and geopolitics.