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Fresh news and strategies for traders. SPY Trader episode #1394.
The market navigates extreme volatility, experiencing a massive Friday crash driven by trade war fears followed by a sharp Monday premarket rebound spurred by deescalation hopes. This episode details a necessary split strategy to capture the current 'riskon' rally in technology (QQQ, XLK) while maintaining crucial defensive hedges (GLD) and positioning for further aggressive Fed rate cuts (TLT). We break down how aggressive Fed policy, strong earnings, and geopolitical uncertainty dictate current market momentum.