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Will this week’s key macro and micro data derail asset markets?
Episode 241
Published 10 months, 2 weeks ago
Description
Darius Dale breaks down a pivotal week for markets as delayed economic data finally returns, major earnings hit the tape, and traders grapple with a firmer Fed tone. He explains why the Macro Weather Model is flashing near-term headwinds, how shifting rate-cut odds are reshaping risk, and why this environment puts a spotlight on avoiding type-two errors.