TWIFO 487: An Explosive Week in Energy, Equity, Crypto and More
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About this listen
The markets are anything but calm this week. Join host Mark Longo and special guest Erik Norland, Chief Economist at CME Group, as they break down a historic surge in volatility across every major asset class. From geopolitical tensions driving double-digit moves in crude oil to the "incoherent" signals between gold and treasury yields, we dive deep into the data you need to navigate this changing landscape.
On this episode, we discuss:
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Energy: WTI Crude's 21%+ surge—is the market pricing in a long-term Middle East disruption, or is the move surprisingly muted?
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Metals: Why Gold and Silver are decoupling from the "flight to quality" narrative and what the 6,000 strike in Gold tells us about long-term sentiment.
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Crypto: The "Digital Gold" debate—Erik explains why the correlation between Bitcoin and Gold remains near zero despite the recent volatility.
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Rates & Credit Spreads: A look at the massive volume in 10-year notes and why narrowing credit spreads might be ignoring brewing risks in private credit.
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Equities: The rotation from large-caps to small-caps—is the Russell 2000 rally overdone, or is there more room to run?