Description
In this engaging episode, Andy and Dennis discuss the current dynamics across different markets. They start with the stock market’s potential correction as signs suggest a high probability of a pullback due to the unusual rise in the VIX, indicating concerns about upcoming volatility. Dennis shares his strategy of buying puts for November, both as a speculative trade and a hedge, and discusses broader economic and geopolitical factors impacting market uncertainty. The conversation then shifts to the launch of Dennis’s new product, VIX Exchange, a newsletter providing regular market updates and trade recommendations. Furthermore, they dive into the oil market’s…
In this compelling episode, Larry Johnson and the host delve into the escalating conflict between Ukraine and Russia, discussing the implications of missile exchanges and the involvement of the Biden-Harris administration. They explore the possible motivations behind the United States’ military...
Published 11/24/24
In this extensive discussion, Tom Luongo unravels the intricate web of global geopolitics, financial strategies, and the implications of recent U.S. elections. The dialogue delves into the potential impacts of a Trump administration on international relations, particularly with regard to the...
Published 11/22/24