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Steve Sosnick

Analyst from Interactive Brokers, shares his perspective on market trends and economic data.

Top 10 podcasts with Steve Sosnick

Ranked by the Snipd community
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Aug 26, 2024 • 13min

Digging Out After Jackson Hole

Steve Sosnick, an expert in economic trends and the stock market, breaks down Fed Chief Powell's insights from the Jackson Hole meeting. He discusses the implications of potential interest rate cuts and revised employment data on markets. With the stock market near historic highs, the focus shifts to upcoming earnings reports, especially from AI-giant Nvidia. Sosnick emphasizes how these earnings could shape market dynamics and influence investor sentiment in the current economic landscape.
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Mar 25, 2024 • 25min

Asia Markets React to Central Banks

Podcast discusses how central bank decisions are impacting global markets with insights from various industry experts. Topics include APAC market outlook, Bank of Japan, The Fed, inflation and jobs balance, market dynamics, China's economic outlook, interest rates, corporate bonds, and oil price rally.
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Oct 10, 2024 • 43min

Closing Bell Overtime: AMD CEO Lisa Su On New AI Chip, Growing Market Share 10/10/24

Lisa Su, the CEO of AMD, shares insights on the cutting-edge MI325X AI chip, aimed at rivaling NVIDIA while enhancing customer efficiency. Stephanie Drescher, from Apollo Global Management, discusses the surging interest in private market investments and emerging opportunities. Mike Santoli offers a look at the banking sector's current stability, and analysts like Steve Sosnick and Craig Irwin weigh in on market trends, including Tesla's ambitious robo-taxi initiative and its implications for future technology sectors.
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Aug 19, 2024 • 32min

Traders Look to Jackson Hole For Hint on Fed Direction

Frank Benzimra, Head of Asia Equity Strategy at Societe Generale, joins Steve Sosnick, Chief Strategist at Interactive Brokers, Pooja Malik, Partner at Nipun Capital, and Brian Jacobsen, Chief Economist at Annex Wealth Management. They dive into the pivotal Jackson Hole Economic Symposium and its implications for Asia’s markets amidst volatility. Discussions highlight China's shift towards boosting domestic demand and address deflationary pressures affecting global economies. The impact of recent economic data also raises important questions about recession risks and investment strategies moving forward.
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Jun 24, 2024 • 22min

China, EU EV Tariff Talks, Markets Lookahead

Bloomberg podcast featuring Minmin Low, Thomas Taw & Steve Sosnick discusses China-EU talks on EV tariffs, impact on German auto industry, Japanese equity rally, Japan's currency chief's warning, US equities performance, market insights on trading volume & options expiration
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Jun 17, 2024 • 41min

S&P 500 Target Hike to 6000, Tech's June Dominance, “Mag 7”: Tesla Out, Broadcom In? 6/17/24

Anchors Carl Quintanilla, Sara Eisen, and Michael Santoli discuss bullish Wall Street calls on the S&P 500, tech sector dominance with Apple and Nvidia, and why Broadcom should replace Tesla in the 'Magnificent 7'. Plus, insights on rate cuts, Boeing probe, Tesla roundup, and activism boosting Autodesk shares.
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Apr 23, 2024 • 41min

MH+ Ep.36 So, it Seems Like I Missed Something (guest: Steve Sosnick)

Interactive Brokers Chief Strategist, Steve Sosnick, discusses global equity market turbulence, market momentum indicators, US tax season impact on stocks, market pullbacks for market health, earnings beats, Tesla earnings reactions, top-heavy market dynamics, election year challenges, portfolio insurance strategies with options, VIX trading, asset allocation importance, evolving options expirations, and market triggers like gamma dynamics.
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Feb 9, 2024 • 1h 2min

Volatility Views 570: Market Mania, Election Vol & The Anniversary of Volmageddon

Guest host Steve Sosnick breaks down market mania, volatility products like VIX, and VIX performance during election cycles. The episode explores the outlier impacts of 2008/2020, the crystal ball predictions for VIX, and the current state of volatility in the markets.
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Nov 7, 2023 • 11min

Who Wants to Buy The Debt?

A wide ranging discussion on economics, interest rates, and volatility featuring Senior Economist Jose Torres, Head of Global Fixed Income Trading Joe Burke, and Chief Strategist Steve Sosnick. Topics covered include US economics, job growth, wage gains, soft landing or recession, politics affecting the bond market, Apple's stock, upcoming data points and auctions, concerns and risks in the bond market.
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Sep 27, 2023 • 26min

MH+ Ep.13: Patrick Chats With Steve Sosnick

Interactive Brokers Chief Strategist, Steve Sosnick, discusses market correlation, dispersion's impact on volatility, and the effects of buy writing and short vol strategies on the options market. They explore the implications of a rising dollar and oil prices, the correlation between assets and VIX, and the impact of buy, buy, write ETFs. They also discuss steep skews and innovative trading strategies utilizing option combinations.