Main Street Meets Wall Street
👉 https://www.ljz6jq0m.com/8LJN3/9B9DM/ It provides the high-level data stream you need to turn today’s "Market Audit" into tomorrow's actionable trade. For anyone looking to professionalize their research process.) https://www.ljz6jq0m.com/8LJN3/9B9DM/?creative_id=2Market moves don't wait for the evening news. To trade with conviction, you need the same data and real-time alerts that institutional desks use to filter out the noise]Affiliate Link I May Receive Compensation at No Extra Cost to you Some of the links in this description are affiliate links, meaning I may receive a small commission if you sign up or make a purchase through them, at no additional cost to you. I am a proud partner of Monarch Money and only recommend tools I personally use. This video is for educational and entertainment purposes only and does not constitute formal financial advice. https://monarchmoney.sjv.io/c/6934119/3777629/39024💸 Free 7-Day Trial — explore all of Monarch's features before committing💸 Built-in AI Assistant — ask anything about your money and get expert-informed answers in seconds, based on your complete financial pictureUnderstanding Market Dynamics, Geopolitical Impact, and Trading Strategies with Gianni Di Poce navigating geopolitical tensions like Iran-U.S. conflicts. We also explore trading strategies, asset allocation, and the evolving crypto and metals markets.Key Topics:The role of human emotions in market movements versus paper dataImportance of surviving drawdowns for long-term successGeopolitical conflicts' impact on oil, bonds, and global marketsThe significance of market price action over headlinesDifferentiating between day trading, swing trading, and position tradingTrading options versus futures based on time horizonsMarket psychology around geopolitical news and Federal Reserve announcementsThe outlook for inflation targets, oil, and asset allocationCrypto market trends, including Bitcoin's cyclical nature and institutionalizationCommodities and metals as inflation hedges, including gold, silver, copper, and rare earthsGianni's active trading approach and portfolio constructionTimestamps:00:00 - The influence of human emotion over paper data in markets00:15 - Long-term survival by navigating market drawdowns01:01 - Geopolitical tensions and their macroeconomic effects01:52 - Oil market reactions and global energy security concerns03:04 - Geopolitical crisis impact on bond and liquidity markets04:16 - Debt, inflation, and interest rates: Market dynamics05:26 - Market news fatigue and forward-looking behavior07:02 - Market reactions to earnings and news sentiment shifts08:15 - International market responses to geopolitical conflicts09:43 - Energy prices and regional vulnerabilities in Asia11:10 - Impact of tariffs and geopolitical realignments12:34 - Technical vs. fundamental analysis in trading decisions14:23 - Early lessons from Gianni’s trading career starting in 201016:31 - The significance of market environment during start-up trading phases17:22 - Experiences with risk management and initial successes18:42 - The importance of survival and managing drawdowns19:17 - Differences between day trading, swing trading, and position holding21:20 - Inclusion of options and futures in trading strategies22:24 - Daily trading routine and preparation methods24:38 - The significance of closing prices and market psychology27:09 - Expectations around Federal Reserve policy and interest rates30:12 - Insights on inflation, monetary policy, and oil’s influence33:45 - The current inflation landscape and potential stagflation risks38:22 - Crypto market cycle and Bitcoin’s outlook39:46 - Gold, silver, and precious metals as inflation hedges41:20 - Gianni’s current portfolio composition and sector focus43:37 - Gianni’s activity level, geographic focus, and future outlook
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