Listen "TWIFO 445: We have a lot to talk about..."
Episode Synopsis
In this episode, host Mark Longo is joined by Dan Gramza from Gramza Capital Management to discuss the latest developments and trends in the futures options market. The show covers a range of topics including the state of the equity markets, volatility in the rates and metals markets, as well as the impact of geopolitical tensions and economic reports. Highlights include a deep dive into the unprecedented activity in gold markets, the unusual behavior of the 10-year treasury notes, and the performance of key commodities such as crude oil and natural gas. The episode provides actionable insights and strategies for traders navigating these tumultuous times. 01:04 Welcome to This Week in Futures Options 04:17 Movers and Shakers Report 09:25 Market Volatility and Equity Insights 31:42 Exploring the World of Rates 32:17 Navigating Interest Rates and Bond Market Dynamics 32:53 Unusual Market Movements and Tariff Impacts 39:18 Gold and Silver Market Analysis 52:39 Energy Market Insights: Crude Oil and Natural Gas 59:19 Currency and Agricultural Market Trends 01:02:26 Conclusion and Final Thoughts
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