Podcasts about Vix

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Best podcasts about Vix

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Latest podcast episodes about Vix

The Cashflow Academy Show
Why Volatility Isn't the Risk — Being Unprepared Is

The Cashflow Academy Show

Play Episode Listen Later Mar 18, 2026 73:59


When markets swing, headlines turn dramatic. Wars escalate. Oil spikes. The VIX jumps. And suddenly everyone wants to know the same thing: What should I do right now? But that question reveals the real problem. In this episode of the Cash Flow Academy podcast, Andy Tanner, Noah Davidson, and Corey Halliday explain why volatility itself isn't dangerous. What's dangerous is arriving unprepared. Most investors only pay attention when markets become emotional. By then, they're reacting instead of positioning. They're asking for predictions instead of building a plan. Experienced investors approach it differently. They prepare long before the headlines arrive. They own assets designed to perform through cycles. They understand how volatility affects option premiums, insurance pricing, and cash flow opportunities. And when markets move, they already know how to respond. The conversation breaks down how volatility creates opportunities across multiple outcomes — not just one prediction about where prices will go. From oil and gold to defensive stocks and options strategies, the discussion shows how preparation turns uncertainty into an advantage. This isn't about guessing the future. It's about building the knowledge and positioning that allows you to benefit when markets become unpredictable — instead of being surprised by them. Want to Learn More? – Explore free education and tools at cashflowbonus.com to strengthen your investing foundation – Keep building your financial education at yourinvestingclass.com.

Unchained
Bits + Bips: Bitcoin Finally Acted Like a Hedge. Will It Last?

Unchained

Play Episode Listen Later Mar 16, 2026 47:55


For the first time in a geopolitical crisis, bitcoin held its ground while safe havens faltered. But can it keep holding if the VIX moves from yellow to red? --- Bits + Bips is spreading its wings Starting soon, new episodes will only be published on our brand‑new feeds. What you need to do: Click the links below. ⁠YouTube⁠ ⁠Apple⁠ ⁠Spotify⁠ ⁠X⁠ Smash Follow or Subscribe.

The Options Insider Radio Network
The Option Block 1452: Beaker's Revenge

The Options Insider Radio Network

Play Episode Listen Later Mar 16, 2026 56:27


Market volatility is feeling a bit like a Muppet Lab experiment gone wrong. In this episode, Mark Longo is broadcasting from the "Southern Studio" to join "Uncle" Mike Tosaw and Andrew "The Rock Lobster" Giovinazzi for a deep dive into a green Monday that still feels a bit shaky. On the Docket: The Trading Block: A look at the green start to the week, the S&P 500 vacillating around 6,700, and why the VIX is holding steady at 24. Plus, the panel discusses the impact of Middle East tensions and oil supply on the broader markets. The Odd Block: Why did someone bail on a massive long-term call position in KE Holdings (BEKE) after only two days? Also, a look back at a "cemented" winner in Cemex (CX). The Strategy Block: Uncle Mike discusses "Neutral-ish" strategies and how to get creative with strike selection and call spreads when your favorite stocks are underperforming. Around the Block: Predictions for Nvidia earnings, Fed speak, and the "lotto ticket" 30-strike VIX calls expiring this week.

Rob Black and Your Money - Radio
Markets Adapt To Rising Price Of Oil

Rob Black and Your Money - Radio

Play Episode Listen Later Mar 13, 2026 38:19


Looking into the VIX during times like these, Caterpillar and other construction stocks, Next event is Pints and Portfolios in Sunnyvale on Saturday April 18th 11:30am to 1:30pm sign up for exact location

Alpha Exchange
Kris Abdelmessih, Co-Founder, Moontower.ai

Alpha Exchange

Play Episode Listen Later Mar 13, 2026 52:59


Kris Abdelmessih, author of the MoonTower Substack and founder of the options analytics firm MoonTower.ai., has spent years thinking about option pricing, volatility regimes, and the mental math traders use to translate volatility into price. In this context, it was great to welcome him back to the Alpha Exchange to explore his thought process. We begin with developments in commodity markets, particularly crude oil, and silver, where geopolitical tension and speculative flows have led to sharp changes in volatility surfaces. Kris explains how option skew in underlyings like oil can reprice rapidly during shock events, leading to inverted termstructure and a well bid call skew. These dynamics create unusual behavior in vertical spreads and probabilities implied by option prices. Kris describes how the relationship between spot moves and volatility changes across market environments, emphasizing that traders must continually recalibrate their models. What appears to be a stable relationship—such as the familiar beta between the S&P 500 and the VIX—can shift quickly depending on positioning and market structure. A major focus of our conversation is on the mental math traders use to interpret option prices without relying on models. Kris walks through several shortcuts that allow traders to move quickly between volatility, straddle prices, and probability estimates. These approximations help traders identify when prices look unusual and whether options markets imply probabilities that diverge from other markets. Finally, we discuss the work Kris is doing on financial education. Inspired by teaching his own children about investing and compounding, he has begun running small classes for students and sharing the materials publicly. The goal is simple: introduce younger investors to concepts like time value of money and long-term compounding earlier in life. I hope you enjoy this episode of the Alpha Exchange, my conversation with Kris Abdelmissih.

The Options Insider Radio Network
Volatility Views 672: Crude vs Bonds vs VIX vs Friday the 13th

The Options Insider Radio Network

Play Episode Listen Later Mar 13, 2026 59:41


It's a spooky Friday the 13th on the Options Insider Radio Network! This week, the panel gathers to dissect a market that is being haunted by more than just superstitions. From explosive moves in energy to a bond market that is sending shockwaves through the 60/40 portfolio, the "murderers' row" of vol experts covers it all. On the Docket: The Energy "Memification": Mark Sebastian breaks down the "algo madness" in Crude Oil and why the move to $120 was a mechanical outlier. The Bond Market Cracks: Dr. Russell Rhoads and Jim Carroll discuss why "9 Vol" in the 10-year Treasury is the equivalent of a 40 VIX and what it means for interest rate expectations. VIX as a Passenger: Why the VIX is "yawning" at 27 despite the red across the screens. The Weekly Rundown: Dr. Rhoads reviews a litany of "crappy trades" and highlights a massive 20,000-lot mystery trade in the VIX weeklies. Crystal Ball: Will next week bring a "Jalapeño" spike or a "Vanilla" retreat? The team places their bets on the next VIX settlement. Featuring: Host: Mark Longo, The Options Insider The Greasy Meatball: Mark Sebastian, Option Pit The Professor Dr. VIX: Dr. Russell Rhoads, IU Adjunct Professor The Vixologist: Jim Carroll, Ballast Rock Private Wealth

The Options Insider Radio Network
The Option Block 1451: Crude, Vol and Predictions...Oh My!

The Options Insider Radio Network

Play Episode Listen Later Mar 13, 2026 59:35


Strap in for a high-octane episode of The Option Block as the All-Star panel breaks down a "day trader's paradise." Host Mark Longo is joined by "Uncle Mike" Tosaw (St. Charles Wealth Management) and "The Flowmaster" Henry Schwartz (Cboe Global Markets) to navigate a market defined by red screens, spiking crude oil, and the return of prediction markets. In this episode, we dive into: The Trading Block: A look at the "wild and wooly" week in the markets, from the S&P 500 hovering at 6,700 to VIX hitting 35. The Prediction Game: Why binary event contracts on XSP are the "new hotness" and how Cboe is simplifying the options landscape for new traders. The Odd Block: Unusual activity in Mosaic (MOS), Barclays (BCS), and a massive 50% jump in Lightwave Logic (LWLG). Mail Block: The panel answers your questions on the Iran conflict's market impact and whether VIX 70 calls are a genius hedge or "WTF" territory. Around the Block: Predictions for the week ahead, including earnings from Adobe and Beyond Meat, and why "the only source of unbiased news is the S&P 500 chart."

Rob Black & Your Money
Markets Adapt To Rising Price Of Oil

Rob Black & Your Money

Play Episode Listen Later Mar 13, 2026 38:18


Looking into the VIX during times like these, Caterpillar and other construction stocks, Next event is Pints and Portfolios in Sunnyvale on Saturday April 18th 11:30am to 1:30pm sign up for exact locationSee omnystudio.com/listener for privacy information.

Volatility Views
Volatility Views 672: Crude vs Bonds vs VIX vs Friday the 13th

Volatility Views

Play Episode Listen Later Mar 13, 2026 59:41


It's a spooky Friday the 13th on the Options Insider Radio Network! This week, the panel gathers to dissect a market that is being haunted by more than just superstitions. From explosive moves in energy to a bond market that is sending shockwaves through the 60/40 portfolio, the "murderers' row" of vol experts covers it all. On the Docket: The Energy "Memification": Mark Sebastian breaks down the "algo madness" in Crude Oil and why the move to $120 was a mechanical outlier. The Bond Market Cracks: Dr. Russell Rhoads and Jim Carroll discuss why "9 Vol" in the 10-year Treasury is the equivalent of a 40 VIX and what it means for interest rate expectations. VIX as a Passenger: Why the VIX is "yawning" at 27 despite the red across the screens. The Weekly Rundown: Dr. Rhoads reviews a litany of "crappy trades" and highlights a massive 20,000-lot mystery trade in the VIX weeklies. Crystal Ball: Will next week bring a "Jalapeño" spike or a "Vanilla" retreat? The team places their bets on the next VIX settlement. Featuring: Host: Mark Longo, The Options Insider The Greasy Meatball: Mark Sebastian, Option Pit The Professor Dr. VIX: Dr. Russell Rhoads, IU Adjunct Professor The Vixologist: Jim Carroll, Ballast Rock Private Wealth

TD Ameritrade Network
SPY & SLB Options Positioning Amid Volatile Selling Action

TD Ameritrade Network

Play Episode Listen Later Mar 12, 2026 9:31


OptionsPlay's Tony Zhang says investors are "demanding hedging" at current VIX levels and a challenging environment for the Fed. He talks about how geopolitical uncertainty around Iran and energy price spikes play a role in options activity and ways traders can protect their portfolios. He offers a put spread example trade for the SPY and a cash secured put trade for SLB. ======== Schwab Network ========Empowering every investor and trader, every market day.Options involve risks and are not suitable for all investors. Before trading, read the Options Disclosure Document. http://bit.ly/2v9tH6DSubscribe to the Market Minute newsletter - https://schwabnetwork.com/subscribeDownload the iOS app - https://apps.apple.com/us/app/schwab-network/id1460719185Download the Amazon Fire Tv App - https://www.amazon.com/TD-Ameritrade-Network/dp/B07KRD76C7Watch on Sling - https://watch.sling.com/1/asset/191928615bd8d47686f94682aefaa007/watchWatch on Vizio - https://www.vizio.com/en/watchfreeplus-exploreWatch on DistroTV - https://www.distro.tv/live/schwab-network/Follow us on X – https://twitter.com/schwabnetworkFollow us on Facebook – https://www.facebook.com/schwabnetworkFollow us on LinkedIn - https://www.linkedin.com/company/schwab-network/About Schwab Network - https://schwabnetwork.com/about

The Cashflow Academy Show
War Doesn't Break Markets — It Exposes Where Money Moves

The Cashflow Academy Show

Play Episode Listen Later Mar 11, 2026 51:52


Most investors assume war is catastrophic for markets. Missiles launch. Headlines turn urgent. The instinct is to sell, hide in cash, and wait for the uncertainty to pass. But markets rarely work that way. War doesn't usually destroy markets. It redistributes capital inside them. In this episode, Andy Tanner, Noah Davidson, and Corey Halliday unpack how experienced investors think during geopolitical conflict. Instead of reacting to headlines, they focus on how money rotates between sectors — energy, defense, commodities, and volatility itself. You'll hear why oil often moves first, how insurance pricing in the VIX reveals market fear, and why defense and infrastructure companies quietly benefit when global tensions rise. More importantly, the conversation challenges a deeper assumption: that dramatic events require dramatic portfolio changes. In reality, many of the biggest investing mistakes happen when investors confuse noise with systemic risk. War may dominate the news cycle, but markets tend to process it quickly. The real advantage comes from staying calm, understanding sector rotation, and managing risk while others react emotionally. This episode is not about predicting conflicts or picking sides. It's about understanding how capital behaves when uncertainty rises — and how disciplined investors position themselves when the world gets loud. Want to Learn More? – Explore free education and tools at cashflowbonus.com to strengthen your investing foundation – Keep building your financial education at yourinvestingclass.com.

Market Mondays
MM #300: Iran War Market Manipulation?

Market Mondays

Play Episode Listen Later Mar 10, 2026 119:57


Time Stamps ⏰8:00 Trading Tip of the Week15:00 JPMorgan Stock Warning22:00 How to Profit from Market Volatility?28:00 3 Ways to Get Rich During a War39:00 Market Manipulation in the Oil Market?56:00 Will Oil Get to $200?1:01:00 Trading Oil1:09:00 Time to Buy MU?1:22:00 Is the Market Propped Up?1:35:00 Eli Lilly Stock Outlook1:38:00 Is This a Buying Opportunity?1:45:00 Hedge for InvestorsIn this episode of Market Mondays, we break down JPMorgan's warning that the S&P 500 could fall 10% as tensions with Iran rise and oil prices surge. The team discusses whether the oil market is being manipulated, if prices could reach $200 per barrel, and how investors can profit from extreme market volatility.We also explore strategies for navigating a potential war economy, including whether energy stocks, refiners, or shipping companies may be better plays than trading oil futures. The conversation dives into whether the U.S. market is being propped up by liquidity, if this moment is actually a buying opportunity, and where the next financial crisis could come from.Plus, we analyze key stocks like Boston Scientific ($BSX) and Hims & Hers Health ($HIMS), discuss trading the VIX, BlackRock restricting withdrawals, and reveal the one asset we're most confident in over the next 6–12 months.#MarketMondays #Investing #Stocks #Oil #Finance #Trading #StockMarket #WealthBuildingSupport this podcast at — https://redcircle.com/marketmondays/donationsAdvertising Inquiries: https://redcircle.com/brandsPrivacy & Opt-Out: https://redcircle.com/privacy

TD Ameritrade Network
The Big 3: FIGR, NXT, UAL

TD Ameritrade Network

Play Episode Listen Later Mar 10, 2026 13:48


Volatility has tapered off throughout Tuesday's trading session, and Prosper Trading Academy's Charles Moon sees strong potential in corners of the market as the VIX ticks lower. He offers example options trades for Figure Technology (FIGR), Nextpower (NXT), and United Airlines (UAL). Rick Ducat adds color to the stock moves with a look into technical trends in the charts. ======== Schwab Network ========Empowering every investor and trader, every market day.Options involve risks and are not suitable for all investors. Before trading, read the Options Disclosure Document. http://bit.ly/2v9tH6DSubscribe to the Market Minute newsletter - https://schwabnetwork.com/subscribeDownload the iOS app - https://apps.apple.com/us/app/schwab-network/id1460719185Download the Amazon Fire Tv App - https://www.amazon.com/TD-Ameritrade-Network/dp/B07KRD76C7Watch on Sling - https://watch.sling.com/1/asset/191928615bd8d47686f94682aefaa007/watchWatch on Vizio - https://www.vizio.com/en/watchfreeplus-exploreWatch on DistroTV - https://www.distro.tv/live/schwab-network/Follow us on X – https://twitter.com/schwabnetworkFollow us on Facebook – https://www.facebook.com/schwabnetworkFollow us on LinkedIn - https://www.linkedin.com/company/schwab-network/About Schwab Network - https://schwabnetwork.com/about

options ios volatility big3 vix sling vizio market minute united airlines ual
On The Tape
Credit Isn't A Problem... Until It Is

On The Tape

Play Episode Listen Later Mar 9, 2026 32:07


Dan Nathan and Guy Adami break down a messy macro picture after the latest nonfarm payrolls miss: a softening labor market, sticky inflation, and an equity tape that still looks oddly calm on the surface. ​They dig into rising credit stress in banks and private credit, what the VIX and bond market are really signaling, and how oil shocks and geopolitical tensions in the Middle East complicate the Fed's next move. After the break, Jen Saarbach and Kristen Kelly from The Wall Street Skinny join to unpack the Warner-Paramount mega-deal, “synergies” as code for layoffs, AI's slow-motion impact on white-collar jobs, and why today's conditions have uncomfortable echoes of 2008. —FOLLOW USYouTube: @RiskReversalMediaInstagram: @riskreversalmediaTwitter: @RiskReversalLinkedIn: RiskReversal Media

ai middle east credit fed vix kristen kelly guy adami dan nathan
The Dividend Cafe
Monday - March 9, 2026

The Dividend Cafe

Play Episode Listen Later Mar 9, 2026 16:03


Today's Post - https://bahnsen.co/4lfOy1s The episode reviews continued heightened, two-way intraday market volatility tied to the Iran military operation, highlighted by a Dow swing from sharply down to closing up over 200 points and oil's brief spike near $115 before falling back to about $83–$84 after comments that the war may be nearly over. David argues these violent moves reflect short-term trading, hedging, and speculation, and advises long-term investors to avoid reacting. He notes the 10-year yield fell to about 4.1%, technology led while financials lagged, and last week's index declines were modest despite some weak breadth. He discusses oil and VIX backwardation, shipping/insurance uncertainties in the Strait, debate over targeting Iranian oil infrastructure, and risks of bad policy if oil rises. Bahnsen also cites a “horrific” jobs report with unemployment at 4.4% and significant job losses and revisions, and previews CPI Wednesday. 00:00 Volatility Backdrop 00:54 Wild Market Reversal 01:47 Oil Spike Explained 04:10 Ignore The Noise 04:31 Rates Sectors Breadth 06:18 Backwardation Signals 07:42 War Timeline Shipping 09:57 Policy Risks Oil 10:42 Jobs Report Shock 12:33 Energy CPI Outlook 13:35 Wrap Up Stand Pat Links mentioned in this episode: DividendCafe.com TheBahnsenGroup.com

Stock Market Options Trading
177: How I'm Trading This Volatile SPX Market Right Now

Stock Market Options Trading

Play Episode Listen Later Mar 9, 2026 15:16


Before we jump in — if you want to see the tools mentioned in this episode in action, including the 0DTE Trend Spread Engine and the 1DTE Bias indicator, visit AlphaCrunching.com to learn more and join the trading community.In this episode, Eric discusses the recent market breakdown and how current geopolitical tensions, volatility, and upcoming economic data are shaping trading decisions. With SPX experiencing sharp moves and uncertainty rising, he walks through how he's adapting his approach and managing trades during this environment.A major theme is market structure and key levels. Right now, gamma positioning appears scattered across large round numbers, suggesting institutional traders themselves are uncertain. As a result, Eric is watching major SPX levels every 100 points (6600, 6700, 6800, etc.) as potential support and resistance zones while the market “ping-pongs” between them.He also reviews the macro backdrop driving volatility, including geopolitical tensions, sector rotation away from AI stocks, and a busy week of economic data with CPI, jobless claims, and PCE all ahead. These events could determine whether the market stabilizes or pushes lower toward the mid-6600s.Eric then explains how he's positioning his portfolio:Maintaining a core SPY position while actively trading around itUsing covered calls and rolling positions to manage downside while leaving room for upside participationPausing many longer-duration spreads due to increased uncertaintyMuch of the current trading activity has shifted toward shorter-term strategies, particularly SPX 0DTE trades.The episode highlights how the AlphaCrunching 0DTE Trend Spread Engine (TSE) is being used in practice. The system ranks the best times of day for 0DTE spreads based on historical performance and now posts the short strike levels from the highest-probability trades. These levels act as data-backed areas where SPX has historically stayed away from by expiration, allowing traders to use them as reference points for structuring credit spreads.Eric also introduces progress on the 1DTE Bias indicator, an experimental tool that evaluates market regimes using factors like trend behavior and VIX conditions. By comparing current conditions to historical matches over the past three years, the tool estimates the probability of the market closing higher the next day. The recent volatility spike has highlighted one of the challenges of building this model: unusual market conditions sometimes produce very small historical sample sizes.The episode closes with an important reminder about patience and risk management. In volatile environments, it's often better to wait for conditions to settle rather than forcing trades. Sometimes the best position is simply holding cash until clearer opportunities emerge.Overall, this discussion provides a real-time look at how Eric is navigating a volatile market using a combination of macro awareness, probability-based levels, and adaptive options strategies.

The Wall Street Skinny
TWSS x CNBC's Dan Nathan & Guy Adami: "He Said / She Said" - Jobs, Oil, and the Warner Bros LBO

The Wall Street Skinny

Play Episode Listen Later Mar 9, 2026 20:56


Send a textWe're back for the ninth installment of He Said She Said, our regular crossover series with Dan Nathan and Guy Adami of CNBC's Fast Money. We recorded just after the open Friday morning, breaking down a February jobs report that caught many off guard  -- 92,000 jobs lost, massive downward revisions to prior months, and mounting evidence of an organic economic slowdown that's been building for over a year, well before AI has meaningfully reshaped the labor force.We dive into the Paramount-Warner Brothers mega-deal, what amounts to the largest leveraged buyout in history led by the Ellison family with sovereign wealth fund backing and clear echoes of Elon Musk's Twitter acquisition playbook. Kristen walks through the deal mechanics and the real meaning behind "synergies" -- Wall Street's favorite euphemism for mass layoffs -- while the group debates the timeline for AI-driven workforce displacement across sectors from tech to banking.Jen brings the macro picture into sharp focus, drawing parallels to 2008 as oil prices spike amid escalating geopolitical tensions, war insurance gets pulled from shipping vessels, and the bond market sends confusing signals about inflation and flight-to-quality dynamics. The conversation rounds out with a look at emerging cracks in private credit markets -- including cases of double-pledged collateral fraud coming to light -- and what a persistently elevated VIX alongside modest equity drawdowns might be telling us about complacency lurking beneath the surface.For a 14 day FREE Trial of Macabacus, click HEREShop our Self Paced Courses: Investment Banking & Private Equity Fundamentals HEREFixed Income Sales & Trading HERE Wealthfront.com/wss. This is a paid endorsement for Wealthfront. May not reflect others' experiences. Similar outcomes not guaranteed. Wealthfront Brokerage is not a bank. Rate subject to change. Promo terms apply. If eligible for the boosted rate of 4.15% offered in connection with this promo, the boosted rate is also subject to change if base rate decreases during the 3 month promo period.The Cash Account, which is not a deposit account, is offered by Wealthfront Brokerage LLC ("Wealthfront Brokerage"), Member FINRA/SIPC. Wealthfront Brokerage is not a bank. The Annual Percentage Yield ("APY") on cash deposits as of 11/7/25, is representative, requires no minimum, and may change at any time. The APY reflects the weighted average of deposit balances at participating Program Banks, which are not allocated equally. Wealthfront Brokerage sweeps cash balances to Program Banks, where they earn the variable APY. Sources HERE.

The Options Insider Radio Network
The Option Block 1450: Live from the FIA Boca Conference 2026

The Options Insider Radio Network

Play Episode Listen Later Mar 9, 2026 52:42


Volatility is back with a vengeance! In this special episode, Mark Longo reports live from the FIA Boca Conference 2026 while the markets take a nosedive. As the S&P 500 flirts with red for the year and the VIX threatens the 30-handle, the All-Star panel breaks down the chaos. Joining Mark to dissect the madness are Andrew "The Rock Lobster" Giovinazzi from OptionPit.com and "Uncle" Mike Tosaw from St. Charles Wealth Management. On This Episode: The Trading Block: A deep dive into the "Day Trader's Paradise." We discuss WTI breaking the $100 par strike, the resilience of the S&P 500, and why the small-caps (IWM) are turning back into a pumpkin. VIX Watch: Analyzing the massive paper hitting the tape, including heavy activity in the April 60 calls. The Odd Block: The Rock Lobster spots unusual activity in Wells Fargo (WFC), a massive closing trade in United Airlines (UAL), and the wild 38% surge in Hims & Hers (HIMS). Strategy Block: Uncle Mike schools us on Covered Call management in a falling market. Do you sit on your hands, buy a protective wing, or roll for time? Around the Block: Predictions for the rest of the week, including the "daily miasma" of oil prices and the "dark horse" potential of Silver and Gold. Featured Broker: Tastytrade.com/podcasts Go Pro: TheOptionsInsider.com/Pro

Daily Stock Picks
VIX Near 40, Memory & “Buy the Dip” Scanners: How I'm Positioning my 40-40-20 portfolio

Daily Stock Picks

Play Episode Listen Later Mar 9, 2026 50:32


I like to think the 401k retirement savings method of just automatically adding every 2 weeks is a good way to think of any portfolio you're managing while you're in the accumulation phase. That's how to avoid panic selling. The 40-40-20 portfolio that I manage for myself has allowed me to stay invested while still feeling like I have control over things. ⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠Get my FREE newsletter or sign up for the paid version with benefits like the Office Hours and tracking the portfolios in Savvy Trader ⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠https://dailystockpick.substack.com/⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠THESE SALES END SOON: ⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠TRENDSPIDER - get any annual plan and I'll send you my 4 hour algorithm. ⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠Seeking Alpha's Tool kit ⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠*BEST DEAL - SEEKING ALPHA BUNDLE - Save over $150 and get Premium and Alpha Picks together ⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠ALPHA PICKS - Want to Beat the S&P? Save $50 ⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠Seeking Alpha Premium - FREE 7 DAY TRIAL ⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠SEEKING ALPHA PRO - TRY IT FOR A MONTH FOR ONLY $89 ⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠EPISODE SUMMARY⚠️ Volatility & Levels: Why a VIX spike into the 30s has me building a buy-list instead of panicking, key S&P 500 levels I'm watching, and how I prep 4–5 “auto-buy” names for big dips.

VG Daily - By VectorGlobal
El petróleo sobrepasa $100

VG Daily - By VectorGlobal

Play Episode Listen Later Mar 9, 2026 20:32


En el episodio de hoy de VG Daily, Valentina Orduz y Andre Dos Santos analizan el evento geopolítico de mayor impacto en los mercados globales desde hace más de dos décadas, y sus consecuencias inmediatas sobre energía, inflación.El conflicto entre Estados Unidos, Israel e Irán entró en una nueva fase durante el fin de semana, con una intensidad que los mercados aún están procesando. El cierre efectivo del Estrecho de Ormuz ha sacado del mercado una porción significativa de la oferta global de crudo, disparando el precio del petróleo a niveles que hace tres semanas parecían impensables. Los futuros de los principales índices americanos abrieron la semana con caídas pronunciadas, los mercados asiáticos sufrieron golpes severos, y los tres grandes índices de Wall Street ya acumulan pérdidas en lo que va de 2026. Valentina y Andre explican por qué este conflicto es estructuralmente distinto a los anteriores, y qué significa eso para la duración de la incertidumbre.El segundo gran bloque del episodio conecta tres de los gestores más grandes de la industria como Blue Owl, Blackstone y BlackRock que reportaron tensiones de liquidez en sus fondos semilíquidos, con oleadas de solicitudes de retiro que pusieron a prueba los mecanismos diseñados para contenerlas. Al terminar el episodio, el oyente tendrá un mapa claro de cómo el shock petrolero amplifica los riesgos ya existentes en el sistema financiero, qué señales vigilar en el CPI de esta semana y por qué el VIX es importante.

CommSec
Market Close 09 Mar 26: Aussie market drops to three-month low

CommSec

Play Episode Listen Later Mar 9, 2026 10:00


The Australian share market tumbled to its lowest point since December, extending its worst day in nearly a year as Middle East tensions escalated. Energy was the sole gainer, rising 2% amid oil prices surging past $100 a barrel, while every other sector recorded steep losses. Investors braced for prolonged conflict impacts, including higher inflation and economic uncertainty, as the VIX volatility index hit its highest level since April last year. Laura Besarati is a Market Analyst at CommSec. Each episode, she breaks down the day's market movements and explains what the numbers really mean. The content in this podcast is prepared, approved and distributed in Australia by Commonwealth Securities Limited ABN 60 067 254 399 AFSL 238814. The information does not take into account your objectives, financial situation or needs. Consider the appropriateness of the information before acting and if necessary, seek appropriate professional advice.See omnystudio.com/listener for privacy information.

Broken Pie Chart
OpenAI the Next Netscape? | VVIX Surge | Is This the End of the Selloff? | Oil Goes Parabolic This Week

Broken Pie Chart

Play Episode Listen Later Mar 8, 2026 61:26


Derek Moore is joined by Mike Snyder and Shane Skinner to riff on volatility surging including VIX and VVIX. What volatility changes mean to market makers having to sell or buy more shares to hedge. Later, examine the largest 1 week surge in oil historically and where last week ranks. Plus, asking if OpenAI will wind up being the winner or more like Netscape. All this and more this week.   OpenAI vs other AI companies as the eventual winner Explaining what VVIX is in relation to the VIX Why changes in volatility cause market makers to have to sell or buy shares of underlying Energy sector was the contrarian pick hiding in plain site Green shoots that this selloff will end? The Fed and interest rates   Mentioned in this Episode   Derek Moore's book Broken Pie Chart https://amzn.to/3S8ADNT   Jay Pestrichelli's book Buy and Hedge https://amzn.to/3jQYgMt   Derek's book on public speaking Effortless Public Speaking https://amzn.to/3hL1Mag   Contact Derek derek.moore@zegainvestments.com

The Options Insider Radio Network
Volatility Views 671: Revenge of the Loggins?

The Options Insider Radio Network

Play Episode Listen Later Mar 6, 2026 60:22


The VIX is screaming higher, hitting a 27 handle as the "Danger Zone" officially reopens. On this episode of Volatility Views, Mark Longo is joined by Russell Rhoads, Andrew Giovinazzi, and Matt Amberson to break down a chaotic week fueled by active conflict in the Middle East and a "charitably termed" terrible non-farm payrolls number. Plus, the legend himself, Kenny Loggins, returns to the program as volatility looks skyward. On this episode, the panel dives into: The Volatility Review: Analyzing the 6-point spike in VIX Cash and the massive 15-point jump in the VVIX. The Oracle of New Hampshire: Matt Amberson (ORATS) explains why things are spicy enough for him to start buying straight puts. Russell Rhoads' Weekly Rundown: A deep dive into VIX option flow, including the massive interest in the March 20 puts and the July 60 calls. The Return of the Loggins: Kenny Loggins joins the show as the market flirts with "panic" territory and the backwardation deepens. Stagflation Worries: Andrew Giovinazzi and the team discuss why $90 oil and bad employment data are a nightmare for the Fed. Crystal Ball: The team makes their bold (and high) VIX prognostications for next week.

Volatility Views
Volatility Views 671: Revenge of the Loggins?

Volatility Views

Play Episode Listen Later Mar 6, 2026 60:22


The VIX is screaming higher, hitting a 27 handle as the "Danger Zone" officially reopens. On this episode of Volatility Views, Mark Longo is joined by Russell Rhoads, Andrew Giovinazzi, and Matt Amberson to break down a chaotic week fueled by active conflict in the Middle East and a "charitably termed" terrible non-farm payrolls number. Plus, the legend himself, Kenny Loggins, returns to the program as volatility looks skyward. On this episode, the panel dives into: The Volatility Review: Analyzing the 6-point spike in VIX Cash and the massive 15-point jump in the VVIX. The Oracle of New Hampshire: Matt Amberson (ORATS) explains why things are spicy enough for him to start buying straight puts. Russell Rhoads' Weekly Rundown: A deep dive into VIX option flow, including the massive interest in the March 20 puts and the July 60 calls. The Return of the Loggins: Kenny Loggins joins the show as the market flirts with "panic" territory and the backwardation deepens. Stagflation Worries: Andrew Giovinazzi and the team discuss why $90 oil and bad employment data are a nightmare for the Fed. Crystal Ball: The team makes their bold (and high) VIX prognostications for next week.

Los Streameadores
¡La Novia, Bodas S.A, Si Pudiera Te Patearía, LOL 8 & 56 Días! LOS STREAMEADORES | 6 DE MARZO 2026

Los Streameadores

Play Episode Listen Later Mar 6, 2026 94:17


En este episodio de #LosStreameadores te platicamos de: La Novia, Bodas S.A, Si Pudiera Te Patearía, LOL 8, 56 Días, Nuremberg, Baki-Dou: El Samurái Invencible & Fórmula 1. Elenco del episodio: Freddy Gaitán, Ricardo Verástegui, Laura Aréchiga, Luis Bueno, Rubén Vidales, David Elizondo, Karina Díaz, Juan Carlos Mendiola & Yohana Góngora. ¡Podcast para #Streameadores de TIEMPO COMPLETO! Visita: https://www.freddygaitan.com.mx ¡Síguenos! https://www.instagram.com/losstreameadores/ https://www.instagram.com/rverastegui/ https://www.instagram.com/freddygaitan/ https://www.instagram.com/laura.arevi/ Producido en Inspiral México: http://www.inspiral.com.mx

Se Regalan Dudas
30 cosas que aprendí en 37 años (y que ojalá alguien me hubiera dicho antes) | Jueves de Lety & Ash | Episodio 639

Se Regalan Dudas

Play Episode Listen Later Mar 5, 2026 17:11


En este Jueves de Lety & Ash, Ash comparte 30 lecciones que ha aprendido en sus 37 años: desde la libertad como valor supremo, la terapia como salvavidas y la importancia de la comunidad, hasta congelar óvulos y dejar de criticar a los demás.Entre risas, confesiones y uno que otro “esto me pegó cabrón”, hablamos de feminismo, amistad adulta, rutinas que sostienen, cuestionar tus pensamientos y recordar que todo cambia… y todo pasa. Si estás buscando reflexiones sobre crecimiento personal, amor propio, terapia, libertad, amistades, comunidad y cómo vivir más presente a los 30s (o a cualquier edad), este episodio es para ti.Encuentra la lista completa que escribió Ash en su substack Se Regalan Dudas es el espacio creado por Lety Sahagún y Ashley Frangie para cuestionarlo todo. Lo que nació como un proyecto entre amigas, hoy es el podcast número uno de habla hispana, reconocido por su impacto en temas de salud mental, amor propio, relaciones de pareja y bienestar emocional.Si buscas entender mejor tu sexualidad, sanar vínculos familiares o simplemente navegar el crecimiento personal, este es tu lugar.¿Dónde escucharnos?Encuentra nuevos episodios y contenido exclusivo en YouTube, Spotify, Apple podcasts, Amazon Music y ViX. Hosted on Acast. See acast.com/privacy for more information.

The Independent Advisors
The Independent Advisors Podcast Episode 340: Measured Moves: Market Insights Amid Global Tensions

The Independent Advisors

Play Episode Listen Later Mar 5, 2026 37:11


If you've been enjoying The Independent Advisors podcast for a while now and want to take the next step in your financial journey, I'd encourage you to head to our website, jessupwealthmanagement.com (https://www.jessupwealthmanagement.com/) . Matt offers a 15-minute initial call where you can discuss your financial goals and see if JWM is a good fit for your needs.Scheduling is easy—once you land at jessupwealthmanagement.com (https://www.jessupwealthmanagement.com/) just click “Schedule Initial Call” and select a time that works best for you!There's a quick survey to fill out that will help guide the conversation and ensure your time is used efficiently.If you're ready to learn more, visit jessupwealthmanagement.com (https://www.jessupwealthmanagement.com/) and book your call today!Take advantage of our partnership with LifeLock and get discounts using our link: https://lifelock.norton.com/offers?expid=LLONEYEAR&promocode= JSPW24&VENDORID= _JESSUPWM&om_ext_cid=ext_partner_ JSPW24_Productpage $)Show Notes:Blog Post from Matt Cerminaro on February 24th titled “The Craziest Stat of 2026” - https://chartkidmatt.com/p/the-craziest-stat-of-2026 IRS Tax Withholding EstimatorUS-Israel strike on Iran & market reaction – VIX peaked mildly, institutional buying, investor confidence (03:24) Midterm year volatility expectations – Weak early months, Q4 rebound, historical resilience (06:41) Middle East conflicts & supply chain containment – Limited market disruption, quick recovery (09:23) US dollar trends & international equity outlook – Unexpected 3.5–4% rebound, impact on global stocks, diversification advice (12:12, 14:30) Mortgage rates & housing affordability – 30-year rates below 6%, improved buying conditions, sticky home prices (15:22, 16:30) Tech sector (MAG7) valuation shifts – Low valuations vs. defensive sectors, potential buying opportunities (18:13, 21:20, 28:37) Market technicals & behavioral insights – S&P 500 moving average contraction, disciplined investing, long-term perspective (22:33, 25:25) Tax planning & IRS tools – Withholding estimator, biannual review, avoiding penalties (31:46, 33:15)  Hosts:Mark McEvily - Chief Investment Officer and Managing Partner Matthew Jessup – Chief Executive Officer, Chief Compliance Officer, and Managing PartnerAddress: 35 Park Ave. Dayton, OH 45419 Phone: 937-938-9105 https://www.jessupwealthmanagement.com/ Social Media:Facebook: @JessupWealthManagement LinkedIn: @JessupWealthManagementTwitter: @jessupwealth Instagram: @jessupwealthhttps://www.jessupwealthmanagement.com/disclosures-page

The Options Insider Radio Network
The Hot Options Report: 03-05-26

The Options Insider Radio Network

Play Episode Listen Later Mar 5, 2026 11:10


In this episode of The Hot Options Report, Mark Longo breaks down the stocks dominating the options market and the trades lighting up the tape. Nvidia (NVDA) takes the top spot once again as options traders pile into short-dated calls following a sharp intraday recovery back above the $180 level. Meanwhile Broadcom (AVGO) surges nearly 5% after earnings, drawing heavy options activity as traders position around key levels. We also explore unusual and stealthy options trades from the 10K Club, including activity in VIX, Wells Fargo, Warner Bros. Discovery, and HYG, along with today's most active options names. Other major stocks driving options flow today include: Tesla (TSLA) recovering off earlier lows Microsoft (MSFT) pushing higher with heavy near-term call activity Amazon (AMZN) flirting with the $220 level Apple (AAPL) seeing large in-the-money put activity Palantir (PLTR) and SoFi (SOFI) attracting speculative options flows Tune in for a fast-paced breakdown of the Top 10 most active options stocks, key strikes traders are targeting, and the trades that could shape tomorrow's market action. If it's lighting up the options tape, you'll hear about it on The Hot Options Report. For more options data, go to TheHotOptionsReport.com.  

The Options Insider Radio Network
The Option Block 1449: Yet Another Blood-Red Thursday

The Options Insider Radio Network

Play Episode Listen Later Mar 5, 2026 57:11


The markets are seeing red, and the "Flowmaster" Henry Schwartz is back to take the blame for another Thursday sell-off! Join Mark Longo, Uncle Mike Tosaw, and Henry Schwartz as they dissect a volatile session where the S&P 500 is testing key levels and the VIX is flirting with a 25 handle. In this episode, the panel explores the unusual correlation of "risk-off" sentiment—where even gold and silver are being dumped alongside equities—and whether crypto is actually acting as the new flight-to-safety asset. Key Topics Discussed: The Trading Block: A deep dive into the VIX spike, the S&P's magnet-like attraction to the 6845 level, and a breakdown of February's record-breaking trading volume (1.32 billion contracts!). Sector Analysis: Why industrials (XLI) are leading the decline while energy (XLE) remains a lone green shoot. The Odd Block: Unusual activity in StubHub (STUB) following a post-earnings puke, a predictable "jelly roll" in Hertz (HTZ), and a curious call buyer in Warner Music Group (WMG). Crypto vs. Metals: Analyzing the surprising resilience of Bitcoin earlier in the week versus the traditional flight to quality in gold. Mail Block: The panel reviews listener sentiment on cheap VIX puts and how long the current geopolitical conflict will impact market volatility.

Daktilo1984
Depo Kaça Dolacak? | Soru-Cevap | Eser Özdil | Varsayılan Ekonomi S3 #08

Daktilo1984

Play Episode Listen Later Mar 5, 2026 85:07


Enerji ve teknoloji alanlarında iş yönetimi danışmanlığı faaliyetlerinde bulunan, multidisipliner kamu politikaları üreten Glocal Grup Danışmanlık'ın sunduğu  Varsayılan Ekonomi'nin Soru-Cevap Yayını'nda Ekonomist Dr. Enes Özkan ve Enerji Uzmanı Eser Özdil, İran Savaşı ve Hürmüz Boğazı'nın kapatılması bağlamında enerji güvenliği sorunu, yükselen akaryakıt fiyatları ve bu gelişmelerin dünya ve Türkiye ekonomisine etkileri konularında merak ettiğiniz soruları cevaplıyor. Bu gönderinin altına sorularınızı yazabilirsiniz.https://groupglocal.com/contact/ #reklam #işbirliği00:00 Giriş02:30 Bir deponun kaça dolacağı nasıl belirleniyor?07:40 EŞEL Mobil Sistemi nedir, ne zaman devreye girer, ne kadar etkili olabilir?12:05  Trump sonrasında Paris Anlaşması ve geniş anlamda çevreci enerji devrimi sekteye uğradı mı?19:40 2026'da elektrik-gaz sübvansiyonu olarak öngörülen 500 milyar lira yeterli gelecek mi?23:10 Hürmüz Boğazı'nın kapatılması Avrupa enerji piyasalarını ve Avrupa'da enflasyonu nasıl etkiler?32:10 Çin, Hürmüz Boğazı'nın kapatılması nedeniyle ihtiyacı olan petrolü başka yerlerden hızlı bir şekilde tedarik edebilir mi? 34:10 70'lerdeki petrol krizi gibi bir kriz çıkması için varil fiyatı kaç dolara çıkması gerekir?37:40 AB'nin Rusya`dan petrol/doğalgaz alımı için Ukrayna'daki boru hatlarını kullanmak isteğine Ukrayna'nın olumsuz cevap verdiği söyleniyor. Türkiye burada devreye girebilir mi?46:20 Libya petrol üretimi İç Savaş öncesi seviyeye ne zaman çıkar?47:45 Rusya'nın yerine enerji tedarikçisi ya da hub'ı olmak gibi bir hedefimiz var mı?54:00 Enerji açığımızın giderilmesinde doğal kaynaklardan yararlanılması konusundaki engeller nelerdir? Doğal kaynaklarımız mı yetersiz?01:01:00 Brentteki artışın Türkiye'ye daha fazla yansımasının ne kadarı bizim döviz kuru ve vergilerimizle ilgili?01:02:30 İran vanayı kısarsa veya Hürmüz Boğazı'nda kriz çıkarsa Türkiye'nin arz güvenliği bundan nasıl etkilenir? 70'lerdeki gibi bir kıtlık yaşama riskimiz var mı?01:06:00 ABD'nin Venezuela politikası veya kaya gazı üretimi şu anki fiyatları dizginlemeye yetmiyor mu?01:09:50 VIX endeksi niye düşüşte? (YTD)01:11:35 Petroldeki durum petrol bazlı plastiklerde de fiyat artışına neden olur mu?01:12:10 Körfez'in tarafsız, güvenli ve lüks imajı yara aldı mı?01:15:40 "Kardeş Ülke İspanya" enerji piyasası ne durumda? (keyifler yerindeymiş :)01:19:05 Körfez ülkeleri bir süre petrol-gaz satmasa da idare edebilirler ancak deniz suyu arıtma tesislerine elektrik sağlayan enerji santrallerinin petrol-gaz arzı & Hürmüz Boğazı'ndan yapılan gıda sevkiyatları durursa bu ülkeler ne kadar dayanabilecekler?01:21:50 Özel sektörün perakende su temini (pet şişe sular) işletmeciliği, özellikle yeni dönemde bölgesel su kaynakları ve enerji bakımından bir güvenlik sorunu oluyor mu, olacak mı?Ayrıcalıklardan yararlanmak için bu kanala KATILın (IOS kullanan takipçilerimiz de artık kolayca KATILabilirler):https://www.youtube.com/channel/UCWyDy24AfZX8ZoHFjm6sJkg/joinBizi Patreon'dan Destekleyin

The Option Block
The Option Block 1449: Yet Another Blood-Red Thursday

The Option Block

Play Episode Listen Later Mar 5, 2026 57:11


The markets are seeing red, and the "Flowmaster" Henry Schwartz is back to take the blame for another Thursday sell-off! Join Mark Longo, Uncle Mike Tosaw, and Henry Schwartz as they dissect a volatile session where the S&P 500 is testing key levels and the VIX is flirting with a 25 handle. In this episode, the panel explores the unusual correlation of "risk-off" sentiment—where even gold and silver are being dumped alongside equities—and whether crypto is actually acting as the new flight-to-safety asset. Key Topics Discussed: The Trading Block: A deep dive into the VIX spike, the S&P's magnet-like attraction to the 6845 level, and a breakdown of February's record-breaking trading volume (1.32 billion contracts!). Sector Analysis: Why industrials (XLI) are leading the decline while energy (XLE) remains a lone green shoot. The Odd Block: Unusual activity in StubHub (STUB) following a post-earnings puke, a predictable "jelly roll" in Hertz (HTZ), and a curious call buyer in Warner Music Group (WMG). Crypto vs. Metals: Analyzing the surprising resilience of Bitcoin earlier in the week versus the traditional flight to quality in gold. Mail Block: The panel reviews listener sentiment on cheap VIX puts and how long the current geopolitical conflict will impact market volatility.

InvestTalk
Best of Caller Questions

InvestTalk

Play Episode Listen Later Mar 4, 2026 47:00 Transcription Available


In this compilation program, Justin Klein and Luke Guerrero field a variety of finance and investment questions from callers across the United States and around the World.Today's Stocks & Topics: A-I Stocks, Bond Maturity, Short-Term Rental Market, The VIX, Crypto, Pre-Tax Allocation vs. Roth I-R-A, Poorly Managed Companies, Publicly Traded Sports Teams, P.E. Ratios, Oil, Portfolio Management, Converting a Traditional IRA to a Roth, Cash Management, How to Calculate Company's Debt, 529 Plan, Entry Point.Our Sponsors:* Check out Anthropic: https://claude.ai/invest* Check out Pebl: https://hipebl.ai* Check out Progressive: https://progressive.com* Check out Quince: https://quince.com/INVESTAdvertising Inquiries: https://redcircle.com/brands

Unchained
Bits + Bips: Is Crypto the Only Asset That Works When Geopolitics Breaks Down?

Unchained

Play Episode Listen Later Mar 4, 2026 58:45


US and Israeli strikes killed Iran's Supreme Leader and initially rattled markets. But does the subsequent market calm reflect genuine resilience or a dangerous underpricing of what comes next? --- Nexo is the premier digital wealth platform. Receive interest on your crypto, borrow against it without selling, and trade a range of assets. Now available in the U.S with 30 days of exclusive privileges. Get started at nexo.com/unchained Bits + Bips is spreading its wings Starting soon, new episodes will only be published on our brand‑new feeds. Here's what you need to do: Click the links below. ⁠YouTube⁠ ⁠Apple⁠ ⁠Spotify⁠ ⁠X⁠ Smash Follow or Subscribe.

Daily Stock Picks
Be Greedy when others are Fearful -

Daily Stock Picks

Play Episode Listen Later Mar 4, 2026 46:01


Todays podcast is about identifying when an opportunity may present itself. I go over software ($IGV) and tech ($XLK) and show charts with Bollinger Bands and other indicators you can use to help identify when a stock might turn around. Plus I'm leaning heavily in to Sidekick on Trendspider as it's been a game changer with it's analysis. ⁠⁠⁠⁠⁠⁠⁠Get my FREE newsletter or sign up for the paid version with benefits like the Office Hours and tracking the portfolios in Savvy Trader ⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠https://dailystockpick.substack.com/⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠THESE SALES END SOON: ⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠TRENDSPIDER - get any annual plan and I'll send you my 4 hour algorithm. ⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠Seeking Alpha's Tool kit ⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠*BEST DEAL - SEEKING ALPHA BUNDLE - Save over $150 and get Premium and Alpha Picks together ⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠ALPHA PICKS - Want to Beat the S&P? Save $50 ⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠Seeking Alpha Premium - FREE 7 DAY TRIAL ⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠SEEKING ALPHA PRO - TRY IT FOR A MONTH FOR ONLY $89 ⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠⁠EPISODE SUMMARY

Historias x Whitepaper
140. TransUnion, TelevisaUnivision y ViX, Altos Hornos, The Sphere, set-jetting

Historias x Whitepaper

Play Episode Listen Later Mar 4, 2026 48:44


En este episodio hablamos de la adquisición de TransUnion de México por parte de TransUnion; de la relevancia que está tomando Vix dentro del EBITDA de TelevisaUnivision; de la subasta en la que se buscaba vender los activos de AHMSA; el incremento en el precio de las acciones de la empresa que está detrás de The Sphere; de el turismo en las ubicaciones que aparecen en series y películas.⁠Escucha nuestro newsletter diario "Whitepaper Hoy" en Spotify⁠Try Whitepaper 30 days freeBuy your Whitepaper merch hereRecomendación:THE 2028 GLOBAL INTELLIGENCE CRISIS

IBKR Podcasts
Markets on Edge: Energy Surges as Conflict Escalates

IBKR Podcasts

Play Episode Listen Later Mar 4, 2026 6:20


Markets reacted swiftly to rising geopolitical tensions as energy stocks surged and volatility returned to Wall Street. Longtime collaborator and friend of the show, Scott Bauer, joins our IBKR Podcast to discuss the global market reaction, the outlook for the VIX and the key economic data investors are watching next.

Limitless Mindset
Virtue (& Beauty) Are Downstream of SuperOxide Dismutase

Limitless Mindset

Play Episode Listen Later Mar 4, 2026 90:22


Is beauty vain, or is beauty, instead, a philosophical treasure that refracts the potency of our inner life force? Is physical beauty something we've programmed to respond to by the 5000 ads a day? Is the obsession with one's own physical beauty a sign of a deeply corrupt soul? If all you have to offer is that which you did not earn, you'll be terrified to lose it. Is the lustful obsession with physical beauty the way of what appears to be a man, but is really an animal? OR is physical beauty a gift from the divine (or evolution if you prefer)? A reward for when we draw nearer to the most metaphorically divine act, that of creating new life in our own image.These are the most pragmatic of philosophical questions. I discuss them with François Vix, who has dedicated the past two decades to advancing health through scientific breakthroughs in the beauty and wellness space. Most notably, he pioneered the use of a stable, bioactive form of SuperOxide Dismutase (SOD), bringing GliSODin to more than 50 countries.I've trialed their two products: GliSODin Anti-Aging and VSOD. These are more than just beauty products, with over 20 clinical trials backing SOD's effect on health and longevity, it may be one of the keys for aspirational beautiful immortals.4:10 Can the pursuit of beauty be virtuous?7:00 The philosophical case for beauty10:33 The science behind SuperOxide Dismutase (SOD)21:44 What is Bioactive SOD-Gliadin Complex?23:27 Origin of Melon-extracted SOD26:45 GliSODin multiplies the effect of mainstream "beauty supplements"29:15 Science: SOD vs free radicals31:31 Effects of GliSODin34:07 Biohacker review of GliSODin35:47 DNA protection - THIS really matters 42:18 GliSODin Anti-Aging vs VSOD44:36 UV Protection - "sunscreen from within?"48:50 GliSODin - Safe for nursing or pregnant mothers?52:22 When to expect results from GliSODin?56:21 Lifestyle cofactors for empowering SOD01:00:47 SOD Nutrient cofactors01:03:31 Cycling SOD supplements?01:07:18 François's personal health practices01:11:15 Entrepreneurship advice01:15:57 Virtue is downstream from investment in healthRead

Joaquín López-Dóriga
Damián Alcázar interpreta a Daniel Arizmendi en "El Mochaorejas", la serie de Vix

Joaquín López-Dóriga

Play Episode Listen Later Mar 4, 2026 24:44


Daniel Arizmendi es considerado uno de los delincuentes más temidos de México; Damián Alcázar protagoniza la serie "El Mochaorejas" de Vix.

Lance Roberts' Real Investment Hour
3-3-26 Ten Immutable Laws of Money

Lance Roberts' Real Investment Hour

Play Episode Listen Later Mar 3, 2026 55:06


Most people will never build wealth — not because of the economy, but because no one taught them the rules. Lance Roberts & Jonathan Penn break down the 10 Immutable Laws of Money — time-tested principles that have worked for generations, regardless of your income, age, or background. From budgeting basics and crushing debt to understanding why millionaires live more modestly than you think, these laws are the foundation of lasting financial success. Hosted by RIA Advisors Chief Investment Strategist, Lance Roberts, CIO, w Senior Investment Advisor, Jonathan Penn, CFP Produced by Brent Clanton, Executive Producer Rate us on Google: https://bit.ly/4b9JtEo 0:00 - INTRO 1:04 - What Else is Going On Besides Iran? 10:11 - VIX is Rising as Markets Fall 14:38 - Spring Break & Adulting 15:23 - The Laws of Money 18:28 - Hard to Break Habits 19:46 - The Secret to Wealth 22:00 - Why We Invest 23:14 - Money Doesn't Grow on Trees 28:39 - Wants vs Needs 31:27 - Your life is Worth 80% 35:30 - Poor People are Debtors (You DO NOT need a Credit Card) 40:50 - Moral & Physical Hazards 43:15 - The Best Things in Life ARE Free 46:49 - Money Can't Buy Happiness... 53:22 - The Thing About Girl Scout Cookies ------- Watch Today's Full Video on our YouTube Channel: https://youtube.com/live/Il8UfCCn0tE?feature=share ------- Watch our previous show, "Is the Market Topping? Iran, AI Chaos & the Signals You Can't Ignore," here: https://youtube.com/live/m3M6saceH5g?feature=share -------- The latest installment of our new feature, Before the Bell, "Dollar Surges, Markets Fall" is here: https://youtu.be/5Z7fb273clY ------- Download Lance's Latest e-book, "Laws of Money & Wealth:"https://realinvestmentadvice.com/ria-e-guide-library/ -------- SUBSCRIBE to The Real Investment Show here: http://www.youtube.com/c/TheRealInvestmentShow -------- Visit our Site: https://www.realinvestmentadvice.com Contact Us: 1-855-RIA-PLAN -------- Subscribe to SimpleVisor: https://www.simplevisor.com/register-new -------- Connect with us on social: https://twitter.com/RealInvAdvice https://twitter.com/LanceRoberts https://www.facebook.com/RealInvestmentAdvice/ https://www.linkedin.com/in/realinvestmentadvice/ #PreMarket #StockMarketToday #MarketVolatility #DollarRally #TradingStrategy #PersonalFinance #WealthBuilding #MoneyTips #DebtFreeJourney #FinancialFreedom

The Real Investment Show Podcast
3-3-26 Ten Immutable Laws of Money

The Real Investment Show Podcast

Play Episode Listen Later Mar 3, 2026 55:07


Most people will never build wealth — not because of the economy, but because no one taught them the rules. Lance Roberts & Jonathan Penn break down the 10 Immutable Laws of Money — time-tested principles that have worked for generations, regardless of your income, age, or background. From budgeting basics and crushing debt to understanding why millionaires live more modestly than you think, these laws are the foundation of lasting financial success. Hosted by RIA Advisors Chief Investment Strategist, Lance Roberts, CIO, w Senior Investment Advisor, Jonathan Penn, CFP Produced by Brent Clanton, Executive Producer Rate us on Google: https://bit.ly/4b9JtEo 0:00 - INTRO 1:04 - What Else is Going On Besides Iran? 10:11 - VIX is Rising as Markets Fall 14:38 - Spring Break & Adulting 15:23 - The Laws of Money 18:28 - Hard to Break Habits 19:46 - The Secret to Wealth 22:00 - Why We Invest 23:14 - Money Doesn't Grow on Trees 28:39 - Wants vs Needs 31:27 - Your life is Worth 80% 35:30 - Poor People are Debtors (You DO NOT need a Credit Card) 40:50 - Moral & Physical Hazards 43:15 - The Best Things in Life ARE Free 46:49 - Money Can't Buy Happiness... 53:22 - The Thing About Girl Scout Cookies ------- Watch Today's Full Video on our YouTube Channel: https://youtube.com/live/Il8UfCCn0tE?feature=share ------- Watch our previous show, "Is the Market Topping? Iran, AI Chaos & the Signals You Can't Ignore," here: https://youtube.com/live/m3M6saceH5g?feature=share -------- The latest installment of our new feature, Before the Bell, "Dollar Surges, Markets Fall" is here: https://youtu.be/5Z7fb273clY ------- Download Lance's Latest e-book, "Laws of Money & Wealth:"https://realinvestmentadvice.com/ria-e-guide-library/ -------- SUBSCRIBE to The Real Investment Show here: http://www.youtube.com/c/TheRealInvestmentShow -------- Visit our Site: https://www.realinvestmentadvice.com Contact Us: 1-855-RIA-PLAN -------- Subscribe to SimpleVisor: https://www.simplevisor.com/register-new -------- Connect with us on social: https://twitter.com/RealInvAdvice https://twitter.com/LanceRoberts https://www.facebook.com/RealInvestmentAdvice/ https://www.linkedin.com/in/realinvestmentadvice/ #PreMarket #StockMarketToday #MarketVolatility #DollarRally #TradingStrategy #PersonalFinance #WealthBuilding #MoneyTips #DebtFreeJourney #FinancialFreedom

TD Ameritrade Network
Crude Oil Nears 52-Week High, VIX Spikes as Middle East Tensions Grow

TD Ameritrade Network

Play Episode Listen Later Mar 3, 2026 8:47


Tensions grow in the Middle East with Iran retaliating against the U.S. strikes that killed Iran's leader. Kevin Green points to crude oil's surge Tuesday morning and a spike in the VIX as key components to the start of a sharp downside market move. KG adds that similar commodities like natural gas and heating oil rallying as well, which will trickle into higher energy prices in the U.S. On the earnings front, KG touches on MongoDB's (MDB) stock plunge after beating but disappointing in guidance. ======== Schwab Network ========Empowering every investor and trader, every market day.Options involve risks and are not suitable for all investors. Before trading, read the Options Disclosure Document. http://bit.ly/2v9tH6DSubscribe to the Market Minute newsletter - https://schwabnetwork.com/subscribeDownload the iOS app - https://apps.apple.com/us/app/schwab-network/id1460719185Download the Amazon Fire Tv App - https://www.amazon.com/TD-Ameritrade-Network/dp/B07KRD76C7Watch on Sling - https://watch.sling.com/1/asset/191928615bd8d47686f94682aefaa007/watchWatch on Vizio - https://www.vizio.com/en/watchfreeplus-exploreWatch on DistroTV - https://www.distro.tv/live/schwab-network/Follow us on X – https://twitter.com/schwabnetworkFollow us on Facebook – https://www.facebook.com/schwabnetworkFollow us on LinkedIn - https://www.linkedin.com/company/schwab-network/About Schwab Network - https://schwabnetwork.com/about

TD Ameritrade Network
Volatility Rewrites the IPO Playbook for 2026

TD Ameritrade Network

Play Episode Listen Later Mar 3, 2026 6:00


Rising geopolitical risk and a spike in the VIX are complicating expectations for the 2026 IPO market. Samuel Kerr says higher energy costs, inflation pressure, and single-stock volatility are making investors cautious, especially as tech multiples face strain from heavy AI-related capital spending. With recent IPOs like Klarna (KLAR), Navan (NAVN), and StubHub (STUB) struggling post-listing, Kerr notes that companies are shifting from timing seasonal windows to staying ready for brief periods of market calm.======== Schwab Network ========Empowering every investor and trader, every market day.Options involve risks and are not suitable for all investors. Before trading, read the Options Disclosure Document. http://bit.ly/2v9tH6DSubscribe to the Market Minute newsletter - https://schwabnetwork.com/subscribeDownload the iOS app - https://apps.apple.com/us/app/schwab-network/id1460719185Download the Amazon Fire Tv App - https://www.amazon.com/TD-Ameritrade-Network/dp/B07KRD76C7Watch on Sling - https://watch.sling.com/1/asset/191928615bd8d47686f94682aefaa007/watchWatch on Vizio - https://www.vizio.com/en/watchfreeplus-exploreWatch on DistroTV - https://www.distro.tv/live/schwab-network/Follow us on X – https://twitter.com/schwabnetworkFollow us on Facebook – https://www.facebook.com/schwabnetworkFollow us on LinkedIn - https://www.linkedin.com/company/schwab-network/About Schwab Network - https://schwabnetwork.com/about

On The Tape
Violent Rotations Brewing Under The Surface + He Said, She Said Live from Miami

On The Tape

Play Episode Listen Later Mar 2, 2026 52:05


Dan Nathan and Guy Adami cover PPI, upcoming earnings, and this week's jobs report. They focus on mounting stress in the AI infrastructure and financing complex: CoreWeave's post-earnings drop, heavy customer concentration, funding challenges, and Jim Chanos' critique that its GPU-leasing model loses money and shows distress-level liquidity, alongside declines in Apollo, KKR, Blackstone, and banks. They contrast Nvidia's strong quarter and 60% growth outlook with stock stagnation, discuss Broadcom as a key AI barometer, and note ongoing software multiple and margin compression highlighted by volatile moves in Workday and Salesforce. Despite rising VIX swings, falling 10-year yields, and consumer-credit concerns signaled by AmEx, Capital One, Klarna, and Walmart trade-down commentary, the S&P remains near highs; they also discuss crude's rebound amid Middle East tensions and Bitcoin weakness pressuring MicroStrategy. After the break, Jen & Kristen join Dan and Guy live from the iConnections Global Alts conference in Miami to unpack an “AI panic” market day, why higher productivity could mean higher rates, and what private credit hiccups really signal for hedge funds and alts. They also explain how The Wall Street Skinny is turning arcane finance jargon into plain English for everyone from college students to the C‑suite, plus why there are no dumb questions when it comes to bonds, credit, and careers on Wall Street. Timecodes 0:00 - Intro 2:00 - CoreWeave & The Software Slide 17:30 - VIX, SPX & The Consumer 25:00 - Yields & Crude 28:30 - Bitcoin & Broader Market 33:20 - He Said, She Said

The Options Insider Radio Network
The Option Block 1448: A Surprising Lack of Demolition in the Market

The Options Insider Radio Network

Play Episode Listen Later Mar 2, 2026 57:31


Despite a weekend filled with geopolitical turmoil and the outbreak of open war in the Middle East, the markets opened Monday with a surprising amount of resilience. Join Mark Longo, "Uncle" Mike Tosaw, and Andrew "The Rock Lobster" Giovinazzi as they break down the "weekend risk" playbook and why the "fade the vol spike" strategy is winning the day. In this episode, the panel discusses: The Trading Block: A look at the S&P, NASDAQ, and VIX. Why did the market go from red to green so quickly? Plus, a deep dive into the massive call activity in VIX and SPY. The Odd Block: Unusual activity in Nokia (NOK) and the "luxury pawn shop" The RealReal (REAL). Is someone betting on a major tech resurgence? Strategy Block: Uncle Mike breaks down the nuances of Delta weighting with Covered Calls. Learn how to capture premium without capping all your upside. Around the Block: Predictions for the week ahead, including earnings to watch: Best Buy, Target, Costco, and the volatile ASKS Space Mobile. Plus: A special "80s Trivia Challenge" featuring a heated debate over the greatest tag team of all time and breaking WWE Hall of Fame news!

Focus economia
Petrolio in volata, strappa anche il gas a +50%

Focus economia

Play Episode Listen Later Mar 2, 2026


L'operazione "Epic Fury" contro l'Iran riporta il rischio geopolitico al centro dei mercati energetici. Il nodo è lo Stretto di Hormuz: da lì transitano circa 20 milioni di barili al giorno su 105 di domanda globale, ma soprattutto quasi metà del petrolio scambiato via mare, cioè quello che fa davvero il prezzo. Il Brent sale oltre 78 dollari, il WTI sopra 71. Il gas europeo balza a 45 euro/MWh (+40%), dopo che QatarEnergy ha annunciato lo stop alla produzione di GNL a Ras Laffan a seguito degli attacchi. Per il petrolio esiste ancora un cuscinetto di offerta - anche grazie agli Stati Uniti, oggi a 13,5 milioni di barili al giorno - ma sul gas la situazione è molto più fragile. L'Europa, che ha sostituito 150 miliardi di metri cubi di gas russo con GNL, dipende in modo cruciale dal Qatar: il 20% del GNL globale passa da Hormuz. Senza alternative immediate, ogni tensione si scarica direttamente sul TTF e quindi sulle bollette elettriche, soprattutto in Italia. L'Opec+ annuncia un aumento di produzione ad aprile, ma mantiene massima flessibilità. Il mercato, però, guarda alla continuità dei flussi: se Hormuz si blocca, il surplus globale si azzera.La reazione dei MercatiNon è panico, è riduzione del rischio. I mercati stanno ricalibrando le probabilità. Il petrolio è il primo termometro, ma i segnali arrivano anche da oro, Treasury e Vix, ai massimi del 2026. Bitcoin inizialmente scende del 4% per poi recuperare rapidamente: segnale che l'escalation viene considerata, per ora, circoscritta. Le Borse europee cedono terreno, in particolare industriali e banche. Salgono energia e difesa. Il FTSE MIB è in netto ribasso. Il punto chiave è la parte lunga della curva Usa. A febbraio il decennale è sceso sotto il 4% nonostante petrolio in rialzo e PPI sopra le attese. È una divergenza anomala: se il greggio consolidasse sopra 80-100 dollari, i rendimenti potrebbero risalire per timori inflattivi. Se invece continuassero a scendere, il mercato starebbe prezzando un rallentamento economico più profondo. La domanda centrale resta una: shock energetico temporaneo o cambio di ciclo macro? La risposta arriverà dai tassi americani. Interviene Giacomo Calef, Responsabile per l'Italia di NS Partners.Caos nei cieli del Golfo: spazio aereo off limits e oltre 5mila voli cancellatiLa chiusura simultanea degli spazi aerei di Iran, Israele, Iraq, Qatar, Bahrein, Kuwait, Siria ed Emirati Arabi riporta il trasporto aereo a uno scenario da emergenza globale. Oltre 5.000 voli cancellati in due giorni, con gli hub di Dubai, Doha e Abu Dhabi particolarmente colpiti. Gli scali di Dubai e Abu Dhabi hanno subito danni diretti; nello Zayed International Airport si registra anche una vittima. Più di 20 mila passeggeri assistiti negli Emirati, ma il problema è sistemico: quegli hub movimentano circa 90 mila passeggeri al giorno e sono snodi cruciali tra Europa, Asia e Africa. Non è solo una crisi regionale: la chiusura del Golfo spezza corridoi intercontinentali, altera rotte globali e aumenta costi e tempi. L'aviazione civile è tra i primi settori a pagare il prezzo dell'instabilità geopolitica. Il commento è di Gregory Alegi, professore di Storia e politica delle Americhe presso l'Università Luiss, ed esperto del settore aeronautico.

The Option Block
The Option Block 1448: A Surprising Lack of Demolition in the Market

The Option Block

Play Episode Listen Later Mar 2, 2026 57:31


Despite a weekend filled with geopolitical turmoil and the outbreak of open war in the Middle East, the markets opened Monday with a surprising amount of resilience. Join Mark Longo, "Uncle" Mike Tosaw, and Andrew "The Rock Lobster" Giovinazzi as they break down the "weekend risk" playbook and why the "fade the vol spike" strategy is winning the day. In this episode, the panel discusses: The Trading Block: A look at the S&P, NASDAQ, and VIX. Why did the market go from red to green so quickly? Plus, a deep dive into the massive call activity in VIX and SPY. The Odd Block: Unusual activity in Nokia (NOK) and the "luxury pawn shop" The RealReal (REAL). Is someone betting on a major tech resurgence? Strategy Block: Uncle Mike breaks down the nuances of Delta weighting with Covered Calls. Learn how to capture premium without capping all your upside. Around the Block: Predictions for the week ahead, including earnings to watch: Best Buy, Target, Costco, and the volatile ASKS Space Mobile. Plus: A special "80s Trivia Challenge" featuring a heated debate over the greatest tag team of all time and breaking WWE Hall of Fame news!

Se Regalan Dudas
Episodios favoritos: 95. Dejar de vivir en automático | Mia Astral

Se Regalan Dudas

Play Episode Listen Later Mar 1, 2026 38:31


Se Regalan Dudas es el podcast creado por Lety Sahagún y Ashley Frangie para cuestionarlo todo. Lo que empezó como una conversación entre amigas hoy es uno de los programas número uno de habla hispana sobre salud mental, amor propio, relaciones, sexualidad, temas tabú y bienestar emocional.Aquí hablamos de lo que nos duele, de lo que no entendemos y de lo que estamos aprendiendo. Si estás buscando entenderte mejor, relacionarte desde un lugar más consciente y tener conversaciones que normalmente evitamos, aquí vas a encontrar preguntas, herramientas y compañía para atravesarlo.Escucha los episodios completos en YouTube, Spotify, Apple Podcasts, Amazon Music y ViX.Síguenos en redes sociales como @seregalandudas para más reflexiones, clips y recursos que acompañen tu proceso. Hosted on Acast. See acast.com/privacy for more information.

The Options Insider Radio Network
Volatility Views 670: Vol Patterns and the Riddle of UVIX

The Options Insider Radio Network

Play Episode Listen Later Feb 27, 2026 59:04


Tech wreckage is cutting the knees off the market, and the volatility panel is seeing red. This week, Mark Longo, Mark Sebastian, and Russell Rhoads dive into why the VIX is firming up despite the market sitting near all-time highs. Topics Breakdown: The Inflation Ghost: Why hotter inflation data is spooking the vol curve and keeping VIX above 20. The March 35 Calls: Why is this strike dominating the tape every single day? UVIX Management: A deep dive into "The Riddle of UVIX." We workshop how to use covered calls to offset decay without capping your "catastrophe hedge" upside. Election Vol: The November VIX cycle has entered the chat. Is it too early to hedge the midterms? Institutional Skullduggery: Discussing the Jane Street/Bitcoin lawsuit and the "Goldman Sachs fist punch" in financials. Visit https:// tastytrade.com/podcasts to see their latest offers.

The Options Insider Radio Network
The Option Block 1447: Nvidia Wreckage, Blackberry Bulls, and Robot Butlers

The Options Insider Radio Network

Play Episode Listen Later Feb 27, 2026 59:48


The markets are seeing red this Thursday as the "Mag 10" takes a hit. On this episode of The Option Block, Mark Longo is joined by Henry Schwartz from Cboe and Mike Tosaw from St. Charles Wealth Management to break down the carnage following NVIDIA's earnings—where even a stellar quarter wasn't enough to satisfy the bulls. The team explores unusual activity in some unexpected names, including a "blast from the past" tech giant and a newcomer in the "Robot as a Service" space. On the Docket: The Trading Block: NVIDIA's worst day in nearly a year. Henry Schwartz breaks down the VIX decomposition and S&P 500 skew, while Mike Tosaw looks at the "flight to safety" in Treasuries (TLT/IEF). The Odd Block: Why is there massive call paper in Blackberry (BB)? Plus, a look at the wild volume in Rich Tech Robotics (RRTX). Mail Block: The panel debates how to approach earnings season. Do you sell juice, buy juice, or avoid it altogether? Around the Block: What to watch for the rest of the week, from PPI data to macro geopolitical tensions in Iran.

Se Regalan Dudas
El miedo al rechazo que está saboteando tu dating | Jueves Lety & Ash | Episodio 637

Se Regalan Dudas

Play Episode Listen Later Feb 26, 2026 23:39


¿Qué pasa cuando decides no desaparecer? ¿Qué pasa cuando, en vez de esperar a que te elijan, te vulneras y preguntas? En este Jueves de Lety & Ash hablamos de dating, miedo al rechazo, orgullo, terapia y merecimiento. Les dimos una actualización de eso que nos propusimos en el episodio 623 “Por qué nos quedamos esperando a que alguien nos elija” y hablamos de ese impulso automático de irnos antes de que nos lastimen. De frenar nuestros deseos. De lo difícil que puede ser mandar un mensaje honesto cuando alguien deja de escribirteUn episodio sobre dejar de esperar… y empezar a actuar distinto en el amor.Si estás soltera, saliendo con alguien o tratando de romper patrones en tus relaciones, este update es para ti.Se Regalan Dudas es el podcast creado por Lety Sahagún y Ashley Frangie para cuestionarlo todo. Lo que empezó como una conversación entre amigas hoy es uno de los programas número uno de habla hispana sobre salud mental, amor propio, relaciones, sexualidad, temas tabú y bienestar emocional.Aquí hablamos de lo que nos duele, de lo que no entendemos y de lo que estamos aprendiendo. Si estás buscando entenderte mejor, relacionarte desde un lugar más consciente y tener conversaciones que normalmente evitamos, aquí vas a encontrar preguntas, herramientas y compañía para atravesarlo.Escucha los episodios completos en YouTube, Spotify, Apple Podcasts, Amazon Music y ViX.Síguenos en redes sociales como @seregalandudas para más reflexiones, clips y recursos que acompañen tu proceso. Hosted on Acast. See acast.com/privacy for more information.