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Unpacking the Market: Fed Pivot & Trade Tensions

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Manage episode 502556470 series 3577695
Content provided by Manoj Sharma. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by Manoj Sharma or their podcast platform partner. If you believe someone is using your copyrighted work without your permission, you can follow the process outlined here https://podcastplayer.com/legal.
Fresh news and strategies for traders. SPY Trader episode #1349. The US stock market shows mixed signals of resilience and caution, with the Dow hitting a new high but futures signaling a lower open. The economy expanded in Q2 2025 but shows an 'economic mirage' due to import drops and plunging investment, while inflation persists. The Federal Reserve is signaling a likely September rate cut, but political interference, including President Trump's actions regarding the Fed and escalating tariffs (on India, China, and ending 'de minimis' exemptions), are unsettling markets. The AI sector faces pressure, but smallcap stocks are outperforming. Nvidia's Q2 earnings report is the week's major event, a key test for the tech sector. Investment recommendations include broad market ETFs (QQQ, SPY, VTI), bonds (AGG, BND) for stability, gold (GLD) as a hedge, and specific stocks like Nvidia (NVDA), Interactive Brokers (IBKR), and EchoStar (SATS) for higher risk tolerance. The market is navigating a landscape of cautious optimism, a dovish Fed, and significant geopolitical and political risks, making diversification key.
  continue reading

403 episodes

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iconShare
 
Manage episode 502556470 series 3577695
Content provided by Manoj Sharma. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by Manoj Sharma or their podcast platform partner. If you believe someone is using your copyrighted work without your permission, you can follow the process outlined here https://podcastplayer.com/legal.
Fresh news and strategies for traders. SPY Trader episode #1349. The US stock market shows mixed signals of resilience and caution, with the Dow hitting a new high but futures signaling a lower open. The economy expanded in Q2 2025 but shows an 'economic mirage' due to import drops and plunging investment, while inflation persists. The Federal Reserve is signaling a likely September rate cut, but political interference, including President Trump's actions regarding the Fed and escalating tariffs (on India, China, and ending 'de minimis' exemptions), are unsettling markets. The AI sector faces pressure, but smallcap stocks are outperforming. Nvidia's Q2 earnings report is the week's major event, a key test for the tech sector. Investment recommendations include broad market ETFs (QQQ, SPY, VTI), bonds (AGG, BND) for stability, gold (GLD) as a hedge, and specific stocks like Nvidia (NVDA), Interactive Brokers (IBKR), and EchoStar (SATS) for higher risk tolerance. The market is navigating a landscape of cautious optimism, a dovish Fed, and significant geopolitical and political risks, making diversification key.
  continue reading

403 episodes

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