Episodios

  • Socially Acceptable Volatility Strikes Again
    Apr 16 2026

    Market swings are back! But this time, investors seem oddly comfortable with the turbulence. We break down why “socially acceptable volatility” has returned, what options markets are signaling, and how headlines, sentiment and skew are shaping the next move.

    Más Menos
    32 m
  • Rally or Mirage: What’s Really Driving Stocks?
    Apr 15 2026

    In this episode of IBKR Podcasts’ Market Minute, host Andrew Wilkinson sits down with Kevin Davitt, Head of Index Options Content at Nasdaq, to unpack the powerful rally pushing equities back into the green. They dive into volatility trends, VIX dynamics and the evolving divide between software and semiconductor stocks to assess whether this surge reflects lasting strength or something more fleeting.

    Más Menos
    10 m
  • Can Singapore Keep Its Market Momentum Going?
    Apr 14 2026

    In this episode, Jose Torres sits down with Geoff Howie of SGX Group to explore why Singapore’s economy and stock market have been outperforming with from strong macro fundamentals to rising AI-driven productivity. They break down the key drivers behind the momentum and the global risks that could determine whether Singapore can keep its global edge.

    Más Menos
    23 m
  • Crypto Trends Signal a Seismic Shift in TradFi
    Apr 14 2026

    There seems to be a growing crowd who say, ‘Crypto is not going away.’ Given that, keeping pace with the ever-evolving, digital financial ecosystem appears key to grasping the seismic structural shift many think the traditional financial system is undergoing. In this episode of IBKR Podcasts, we discuss a series of current trends with crypto leaders Eliézer Ndinga and Adrian Fritz of 21Shares –from trading Bitcoin in volatile times, to its role as ‘digital gold’ amid a projected spike in tokenized real-world assets – to blockchain infrastructure, prediction markets, and much more!

    Más Menos
    55 m
  • Right Direction, Wrong Trade: The Earnings Trap
    Apr 10 2026

    Even when traders correctly predict a stock’s direction after earnings, option trades can still lose money due to volatility shifts and pricing expectations. In this episode, Jeff Praissman sits down with Market Chameleons’ Dmitry Pargamanik and Will McBride to explore how implied volatility, magnitude of moves, and historical data shape earnings strategies.

    Más Menos
    17 m
  • Navigating Equities, Gold, and Global Risk with Absolute Strategy Research
    Apr 9 2026

    In this episode, Jeff Marine of Absolute Strategy Research joins the IBKR Podcast to discuss how shifting macro conditions, geopolitical tensions and historical data are shaping current portfolio positioning. The conversation explores asset allocation adjustments and what investors are watching as market conditions evolve.

    Más Menos
    7 m
  • Markets on Edge: Rates, Oil, and Geopolitics Collide
    Apr 8 2026

    Markets are reacting to a powerful mix of rising rates, shifting oil prices and escalating geopolitical tensions. IBKR's Jeff Praissman is joined by Scott Bauer of Prosper Trading Academy to break down the key signals driving volatility and what investors should watch as inflation data and earnings season take center stage.

    Más Menos
    6 m
  • Why Are Large Caps Winning While Small Caps Catch Up?
    Mar 30 2026

    Why are large-cap stocks continuing to outperform while small caps begin to recover? In this episode of the IBKR Podcast, we break down the latest earnings data, macroeconomic drivers and the role of interest rates and AI-driven growth shaping today’s two-speed market.

    Más Menos
    19 m