
Mad Money w/ Jim Cramer Mad Money w/ Jim Cramer 11/20/25
Nov 21, 2025
Jim Cramer navigates the tumultuous waters of Wall Street, sharing insights on market volatility and advising patience. He dissects NVIDIA's recent quarter, revealing the surprising stock drop despite impressive results. Cramer highlights macroeconomic risks and underscores the pressure on speculative stocks. In retail, he contrasts Target's struggles with Walmart's exceptional performance, showcasing its value strategy. With listener questions about various stocks and a spotlight on recent M&A activity, there's plenty to digest for savvy investors.
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Wait Before Reacting To Big Swings
- When markets swing violently, sit on your hands and avoid trading impulsively.
- If you need cash, sell losers, not winners, to buy quality names on weakness.
Great Results Don't Guarantee A Rally
- Exceptional company results can still see stock weakness if market patterns are distorted.
- A big up-open then collapse signals technicians that further pain may follow.
Small Chips Can Tug Big Tech
- Momentum in smaller semiconductor and storage names can drive correlated ripples across big tech.
- Commodity-like storage stocks are vulnerable once the narrative (e.g., 'super cycle') fades.



