
Mark Minervini
Two-time U.S. investing champion and author known for trading methods and the founder of Minervini Private Access, discussing market breadth, risk management and stock selection.
Top 5 podcasts with Mark Minervini
Ranked by the Snipd community

13 snips
Oct 31, 2025 • 56min
Ep. 344 Higher Markets, Fewer Players? What Mark Minervini Sees Despite A Positive Market.
 Mark Minervini, a two-time U.S. investing champion and founder of Minervini Private Access, shares his insights into the current market dynamics. He discusses how fewer stocks are driving higher index numbers, reminiscent of monopolies in history. Mark emphasizes the importance of individual stock charts over macro signals and outlines his cautious approach to trading while shorting indexes. He also highlights how sentiment indicators gauge market temperature and why disciplined capital protection is crucial for long-term success. 

Sep 7, 2023 • 1h 5min
Ep. 233 Mark Minervini: Going Further By Failing Earlier
 U.S. Investing Champion Mark Minervini shares strategies to mitigate stock market uncertainties and the importance of failing early. He discusses Uber's potential for a breakout year and the benefits of Vitesse Energy in a strengthened oil and gas market. The podcast covers topics such as broad market participation, sticking to trading rules, cutting losses, the transition of the masterclass to an online program, analyzing IPOs and spin-offs, and how stock liquidity influences buying decisions. 

Jul 25, 2024 • 1h 12min
Ep. 279 There’s A Stealth Rally Happening Now — Here’s How To Get In
 Guest Mark Minervini discusses the stealth rally happening in certain stocks and sectors not reflected in major indexes. Topics include INSM as a buy-high-sell-higher opportunity, AOSL showing strength in semiconductor stocks, and ONON as a watchlist contender. 

Oct 16, 2024 • 1h 10min
Ep. 291 Why Minervini Calls Volatility A Rare Moment For This Market
 Mark Minervini, a two-time U.S. investing champion known for his trading insights, teams up with Irusha Peiris, a seasoned Portfolio Manager at O’Neil Global Advisors. They dive into the current market chaos paired with unexpected volatility, revealing how historical data can shape today’s strategies. They emphasize the bullish potential for mid and small-cap stocks as election trends unfold. Risk management takes center stage, highlighting position sizing and adaptive tactics for trading success amidst uncertainty. This conversation is a strategic goldmine for investors! 

Dec 14, 2023 • 1h 10min
Ep. 247 Mark Minervini: Is The Party Over Or Just Getting Started?
 Mark Minervini, founder of Minervini Private Access, warns investors to keep one foot by the exit. Learn how to spot a market that’s just getting started versus one that’s wrapping up. Abercrombie & Fitch, Crowdstrike, and Booking Holdings are some of the best stocks to watch. Emphasis on timing, analyzing stock setups, and managing risk in a volatile market. 


