logo
episode-header-image
Yesterday
3m 57s

Stocks sink, dollar and oil extend gains...

XM.COM
About this episode
Send a text Brent crude stays above $100 as Iran’s new leader vows to keep Hormuz shut. Hopes of quick end to war fade as Trump makes new threat against Tehran. Stock rout worsens, dollar continues to shine but gold slips. Yen steadier after fresh verbal intervention, US data awaited. Risk Warning: Our services involve a significant risk and can result in th ... Show More
Up next
Mar 12
Oil spikes again despite reserves release as fighting escalates
Send a textUS and IEA release record barrels of oil but Brent crude hits $100 again. Iran continues to strike ships and oil infrastructure in the Gulf. Inflation expectations creep up as markets ignore steady US CPI data. Stocks head lower again, dollar firms, gold rangebound.Ris ... Show More
5m 10s
Mar 11
Hopes of truce fade as Middle East conflict escalates
Send a textDollar rebounds as strikes continue despite Trump’s optimistic remarks. Investors scale back Fed rate cut bets head of US CPI data. Aussie rallies amid increasing expectations of RBA hike next week. Wall Street investors stay cautious, gold rebounds above $5,200.Risk W ... Show More
4m 4s
Mar 10
Risk appetite improves as Trump says Iran war is nearly over
Send a textDollar pulls back as Trump says Iran war is “very complete”. Oil fallssharply, inflation fears ease, investors add to rate cut bets. Wall Streetcheers Trump’s remarks, but downside risks remain. Gold rebounds aswell, ready to flirt with key $5,200 zone.Risk Warning: Ou ... Show More
4m 20s
Recommended Episodes
Jul 2023
Late Cycle Bond Trades | Mark Cabana on Mild Recession Case and Treasury Market Supply
Mark Cabana, head of US Rates Strategy at BofA Global Research, joins Forward Guidance to share insights on today’s very strange bond market. Cabana, a former officer at the Markets Group at the Federal Reserve Bank of New York, explains his bullish case for the 10-year U.S. Trea ... Show More
56m 14s
Sep 2025
Precious metals shine as markets open September
August saw strong gains in global equities, particularly in the Dow Jones, as well as indices in both China, and Japan. Gold has hit a four-month high nearing USD 3,500 per ounce this morning, driven by concerns over the Federal Reserve’s independence and uncertainty around US ta ... Show More
10m 25s
Sep 2025
Markets rattle as data surprises and tariffs return
Markets hit some rough patches yesterday, with all major European indices closing lower, followed by similar losses across the three main US benchmarks. Revised US data revealed an upward adjustment to second-quarter GDP, while jobless claims came in below expectations. This prom ... Show More
13m 31s
Sep 2025
Economic Reacceleration or Growth Scare? | Weekly Roundup
This week, we discuss the biggest risks to the economy, whether Mag7 is a bubble, surprisingly strong consumer data, the increasingly noisy housing and labor markets, risks around Fed policy and dollar liquidity, and why gold has been a cleaner macro hedge than Bitcoin. Enjoy! — ... Show More
1h 7m
Apr 2025
US Assets Are Dead Money Without A Policy Shift | Weekly Roundup
This week, we discuss Powell’s hawkish speech, how to think about trading tariffs and the weaponization of the US account deficit, and whether we should expect a significant growth slowdown. We also delve into rate cuts & the yield curve, why Bitcoin is the trade after the trade, ... Show More
53m 24s
Sep 2025
Equities rebound and gold reaches another all-time high
Markets faced a turbulent week, starting with caution amid hawkish Fed commentary and trade tensions, but ending on a more optimistic note thanks to a solid US inflation report. Global equities rebounded on Friday, though US equities still closed the week in negative territory. I ... Show More
10m 17s
Apr 2025
Jesse Felder: Stocks, Bonds & the U.S. Dollar Are All Breaking
Are we heading into a full-blown reset across financial markets? In this explosive interview, Jesse Felder, founder of The Felder Report, joins James Connor to issue a dire warning: stocks, bonds, and the U.S. dollar are all dangerously mispriced, and a major repricing event may ... Show More
56m 58s
Mar 2025
US Stocks and Dollar Tank. What’s Next? - Ep 1015
Peter Schiff discusses market drops, tariff impacts, Trump's Bitcoin reserve, and advocates for foreign stocks and gold investments.Download the CFO’s Guide to AI and Machine Learning at https://netsuite.com/goldStart your free online visit today at https://hims.com/goldIn this e ... Show More
1h 1m
Sep 2024
Financial Markets Back on the Brink of Collapse - Ep 978
Market Turmoil & Economic Uncertainty: A Deep Dive into Non-Farm Payroll Report and Fed PoliciesIn this episode, we explore today's weaker-than-expected non-farm payroll report and its impact on the markets. Despite a brief improvement in stock indices following rate cut expectat ... Show More
1h 1m