In this episode, host Mark Longo is joined by Dan Gramza from Gramza Capital Management to discuss the latest developments and trends in the futures options market. The show covers a range of topics including the state of the equity markets, volatility in the rates and metals markets, as well as the impact of geopolitical tensions and economic reports. Highlights include a deep dive into the unprecedented activity in gold markets, the unusual behavior of the 10-year treasury notes, and the performance of key commodities such as crude oil and natural gas. The episode provides actionable insights and strategies for traders navigating these tumultuous times.
01:04 Welcome to This Week in Futures Options
04:17 Movers and Shakers Report
09:25 Market Volatility and Equity Insights
31:42 Exploring the World of Rates
32:17 Navigating Interest Rates and Bond Market Dynamics
32:53 Unusual Market Movements and Tariff Impacts
39:18 Gold and Silver Market Analysis
52:39 Energy Market Insights: Crude Oil and Natural Gas
59:19 Currency and Agricultural Market Trends
01:02:26 Conclusion and Final Thoughts