25 min listen
Options Jive - April 1, 2024
ratings:
Length:
16 minutes
Released:
Apr 1, 2024
Format:
Podcast episode
Description
Tom Sosnoff, Tony Battista, and Anton Kulikov start with a minor review of market movements, highlighting a small seven-point increase and unexpected market behavior, including a NASDAQ sell-off. Attention is then turned to the complexities of investing in natural gas through ETFs, explaining how storage costs impact ETF value over time. The conversation shifts to gold and S&P 500 options market, discussing call skew and its implications for trading strategies. The dialogue underscores differences in market perception and strategies between hosts, particularly in relation to gold investments and the significance of call skew in various markets. The session ends with a brief look at expected market moves, pondering the potential for the market's range to expand beyond the current forecast.
Released:
Apr 1, 2024
Format:
Podcast episode
Titles in the series (100)
Macro Money - April 1, 2024 - Macro Risk: Bringing Out The Big Guns: Can stock markets continue to hold up under the weight of heavy duty economic data risk? tastylive's Head of Global Macro Ilya Spivak considers how the back-to-back release top U.S. economic reports is likely to impact the markets if Fed rate cut ... by The tastylive network