Market Mondays

EYL Network
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Apr 7, 2026 • 2h 7min

MM #304: Trump’s Iran Deadline 🚨 What It Means For Your Money

They unpack geopolitical risk from Trump’s Iran deadline and how a Strait closure could shock oil, shipping, and inflation. They explore market scenarios from worst‑case disruption to rallying tech if a deal appears. Trading tactics, volatility signals like the VIX, and borrowing against assets get practical attention. Top stock and ETF ideas, Tesla and SpaceX IPO chatter, and whether the AI trade is overcooked round out the talk.
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9 snips
Mar 31, 2026 • 1h 51min

MM #303: Market Turmoil — What You Need To Do Right Now (Before It’s Too Late)

Discussion of trading discipline and why doing less can beat overtrading. Strategies for buying time with longer-dated options during volatility. Geopolitical risks, oil and VIX signals that could reshape markets. Safe ETF plays and conservative ways to deploy $50K. Sector rotation from tech to energy and the wealth gap’s role in market outcomes.
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Mar 24, 2026 • 1h 54min

MM #302: Is The Market Crash Over… Or Just Getting Started? Here’s Exactly When To Buy (Iran War Impact)

They break down market timing, structure, and when to position during volatility. Trading tactics focus on the London session and futures advantages. Commodity trigger levels for gold and oil and airline sensitivity to crude get specific attention. The panel weighs Iran war effects on markets and why Bitcoin is reacting like a risk-off asset.
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Mar 17, 2026 • 1h 48min

MM #301: The Next Market Crash? Nvidia's Future, Oil To $100? & Best Assets To Buy Now

They preview NVIDIA’s GTC and which suppliers could benefit. They debate whether a major market crash is imminent and how this cycle feels different. They flag top assets to watch for the next 6–12 months, including AI, tech, healthcare, commodities, and Bitcoin. They weigh oil’s chance of topping $100 and discuss stocks they currently dislike.
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Mar 10, 2026 • 1h 60min

MM #300: Iran War Market Manipulation? 🚨 Oil Chaos & How to Profit

Time Stamps ⏰8:00 Trading Tip of the Week15:00 JPMorgan Stock Warning22:00 How to Profit from Market Volatility?28:00 3 Ways to Get Rich During a War39:00 Market Manipulation in the Oil Market?56:00 Will Oil Get to $200?1:01:00 Trading Oil1:09:00 Time to Buy MU?1:22:00 Is the Market Propped Up?1:35:00 Eli Lilly Stock Outlook1:38:00 Is This a Buying Opportunity?1:45:00 Hedge for InvestorsIn this episode of Market Mondays, we break down JPMorgan’s warning that the S&P 500 could fall 10% as tensions with Iran rise and oil prices surge. The team discusses whether the oil market is being manipulated, if prices could reach $200 per barrel, and how investors can profit from extreme market volatility.We also explore strategies for navigating a potential war economy, including whether energy stocks, refiners, or shipping companies may be better plays than trading oil futures. The conversation dives into whether the U.S. market is being propped up by liquidity, if this moment is actually a buying opportunity, and where the next financial crisis could come from.Plus, we analyze key stocks like Boston Scientific ($BSX) and Hims & Hers Health ($HIMS), discuss trading the VIX, BlackRock restricting withdrawals, and reveal the one asset we’re most confident in over the next 6–12 months.#MarketMondays #Investing #Stocks #Oil #Finance #Trading #StockMarket #WealthBuildingAdvertising Inquiries: https://redcircle.com/brandsPrivacy & Opt-Out: https://redcircle.com/privacy
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11 snips
Mar 3, 2026 • 2h 6min

MM #299 The Iran War🚨, Oil Spikes, & AI Layoffs | What It Means for Your Money & Investments

Adem Bunkeddeko, a New York State comptroller candidate focused on pension stewardship and community investment. He discusses using pension capital for housing, infrastructure, and supporting diverse managers. Short, punchy takes on pension allocation priorities and proposals like child trust accounts. Conversation connects policy leverage with market and investment implications.
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Feb 24, 2026 • 1h 52min

MM #298 Market Cheat Code: How to Spot Exploding Stocks, Financial Hurdles, & Is the AI Bubble Here?

In this episode, we cover everything you need to navigate today’s market with clarity and conviction. From our Investing Fact of the Week and Trading Tip of the Week to the one risk metric every trader should be using, we break down practical strategies to build wealth and avoid costly mistakes. We also dive into 5 ways to get rich in the market, 3 signs a stock could be on the verge of a 10X run, and 3 lies Wall Street tells retail investors.We discuss 4 AI-proof stocks to consider, how to gain an edge in single-stock futures before launch, and what the future holds for mega caps. Plus, we analyze CrowdStrike and the broader cybersecurity sector to determine whether they’re still strong holds in this environment.In our audience Q&A, we tackle the U.S. debt spiral, sovereign debt risks, two small-cap stock picks, positive market developments, habits that keep people broke, and how much international exposure your portfolio should really have going forward.Invest Fest Tickets: investfest.comInvest Fest Pitch Comp: https://investfest.com/pitch-competition/Red Panda: Ianinvest.com EYL University: https://eyluniversity.com/#stocks #investing #marketmondays #trading #wealthbuilding #AIstocks #cybersecurity #smallcaps #macroeconomics #finance #longterminvestingAdvertising Inquiries: https://redcircle.com/brandsPrivacy & Opt-Out: https://redcircle.com/privacy
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Feb 17, 2026 • 1h 57min

MM #297 The Investor’s Roadmap to Winning in the Stock Market

This week on Market Mondays we break down the biggest questions investors are facing right now. We start with our Investing Fact of the Week and Trading Tip of the Week, then tackle a major strategy question: when should you sell long-term winners? If you’ve had strong returns, is it time to trim gains or let them continue to compound? We also highlight the next tech industry to pay attention to and discuss how much international exposure your portfolio should have going forward.Has the Dow peaked, or is this just healthy rotation? We analyze the recent slide in Amazon and Palantir, break down Ray Dalio’s latest article, and explain what Google’s 100-year bond signals about long-term economic expectations. Plus, we cover emerging market opportunities and whether now is the time to average into Amazon or stay patient.With rate cut expectations shifting, tech showing defensive characteristics, and AI stocks pulling back, we close with the big question: is this AI correction a healthy reset or a warning sign? If you want to improve your stock picking, tighten your entries, and position yourself for what’s next, this is an episode you don’t want to miss.EYL University 5 Year Flash Offer (30 Spots): https://eyluniversity.com/#MarketMondays #Stocks #Investing #StockMarket #AIStocks #AmazonStock #Palantir #DowJones #RayDalio #TechStocks #WealthBuildingAdvertising Inquiries: https://redcircle.com/brandsPrivacy & Opt-Out: https://redcircle.com/privacy
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13 snips
Feb 10, 2026 • 2h 5min

MM# 296 Are Tech Stocks Back? Bitcoin’s Recovery Test, & Top Stocks to Buy

Jessica Spaulding, founder of Harlem Chocolate Factory, shares her entrepreneurship journey and brief bio as a Harlem-based chocolate and CPG operator. Conversation covers Bitcoin’s recent sell-off and possible recovery. Hosts debate whether the Nasdaq pullback is a buying chance and spotlight top stocks under $20 and long-term core picks. Jessica also discusses scaling pain points: retail shifts, margins, and access to capital.
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15 snips
Feb 3, 2026 • 2h 3min

MM #295 Bitcoin, Gold & Silver Crash — What Now? War Stocks, & How to Sell a Business

Mikey Taylor, entrepreneur-turned-mayor who built and sold a national brewery then moved into real estate and private equity. He discusses when to sell a business and pivot after an exit. He explains discipline from athletic roots, why he entered local politics, commercial real estate opportunities, and practical daily priorities for entrepreneurs. Brief takes on Fed policy, Bitcoin regret, and private equity basics.

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