Monday Market Whiplash: Trading the CrashtoRally
The SPY Trader13 Okt 2025

Monday Market Whiplash: Trading the CrashtoRally

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.

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Episoder(773)

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The September Slide: Rate Hikes, $100 Oil, and Defensive Strategies

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Market Crossroads: Rate Cuts and ROI Autumn

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12 Sep 4min

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11 Sep 4min

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Fresh news and strategies for traders. SPY Trader episode #1718. Wall Street faces a fourth day of losses as Brent crude surges past $102 and inflation data points toward a potential Fed rate hike. Th...

10 Sep 4min

Navigating Volatility: Energy Surges and Tech Opportunities

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Fresh news and strategies for traders. SPY Trader episode #1717. In this update, host Benny Bullish breaks down the recent market downturn driven by geopolitical tensions and oil prices nearing 100 do...

9 Sep 5min

Navigating the PostAI Hype Market

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