Season 1 Episode 268
Earnings season can spark sharp moves—but how much of it is predictable? Dmitry Pargamanik of Market Chameleon joins us to explore how traders can use historical options data to spot patterns, dodge …
Published on 2 months ago
Season 1 Episode 272
Markets are hitting fresh highs, but is this a true breakout or just a tariff-fueled head fake? Joining us from the floor of the CBOE, Scott Bauer breaks down what's driving the rally- and whether it…
Published on 2 months, 1 week ago
Season 1 Episode 271
While the market flirts with fresh highs, Fed officials seem more focused on auditioning for the next administration than cutting rates. Steve Sosnick joins Andrew Wilkinson to unpack the drama, from…
Published on 2 months, 2 weeks ago
Season 1 Episode 270
Is your stock on the verge of leveling up? Join Jeff Praissman and NASDAQ’s Nicole Torskiy as they break down the mechanics, impact, and market drama behind index additions- just in time for the upco…
Published on 2 months, 2 weeks ago
Season 1 Episode 264
Zero-day options are exploding in popularity—but what’s really going on behind the scenes? Former Nasdaq Options Head Sean Feeney joins us to uncover the mechanics, risks, and potential of this high-…
Published on 2 months, 2 weeks ago
Season 1 Episode 269
In this episode, Kevin Davitt of Nasdaq returns to unpack how markets are shrugging off rising geopolitical tensions and what a “big, beautiful bill” could mean for investor sentiment and Fed policy.
Published on 2 months, 3 weeks ago
Season 1 Episode 267
Is the market’s mood just mellow—or is volatility really on vacation? Jeff Praissman and Scott Bauer break down the calm summer trading vibes, what’s fueling the low VIX, and whether traders should b…
Published on 2 months, 4 weeks ago
Season 1 Episode 266
Markets are moving fast—but are investors chasing real value or just the mechanical rabbit? Steve Sosnick and Steve Sears join Andrew Wilkinson to break down the momentum madness, fading volatility, …
Published on 2 months, 4 weeks ago
Season 1 Episode 265
Andrew Wilkinson talks with Steve Sosnick and Jose Torres about what’s driving markets higher—despite mixed economic signals. They cover bond yields, labor data, and why investors are staying optimis…
Published on 3 months ago
Season 1 Episode 263
Chief Strategist Steve Sosnick joins Andrew Wilkinson to explore the momentum-fueled rallies, surprising resilience to bad news, and the yield curve signals that have some investors on edge. From qui…
Published on 3 months ago
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