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Length:
55 minutes
Released:
Apr 2, 2024
Format:
Podcast episode
Description
Dylan Ratigan, Christopher Vecchio, and Ilya Spivak provide a comprehensive analysis of the current financial markets on April 2, 2024, with a particular focus on equities, bonds, and commodities. The hosts begin with personal anecdotes before delving into the state of the market, which favored bulls despite a slump in bonds and a challenging day for healthcare stocks due to Medicare Part D scheduling changes adversely affecting UnitedHealthcare. Notable movements included gold, silver, and oil prices rising, with the latter breaking above $85, while the dollar weakened. The discourse then shifted to strategies for navigating the equity markets amidst volatility and the importance of buying at support levels in uptrends. Further discussion revolved around the potential impacts of geopolitical events on oil prices and the anticipation of future Fed decisions, highlighting the market's sensitivity to macroeconomic data and events. The session closed with speculation on the implications of upcoming speeches and data releases, particularly from the Federal Reserve Chair, on market trends.
Released:
Apr 2, 2024
Format:
Podcast episode
Titles in the series (100)
Confirm and Send - April 4, 2024 - Daily Iron Condors vs. Short Straddles: What Wins?: Tom Sosnoff and Tony Battista share market updates and trading strategies, commenting on the S&P's performance, NASDAQ, Russell, Dow, and movements in bonds, oil, and gold prices. They delve into specific trading moves, such as buying bonds before... by The tastylive network