IBKR Podcasts

Interactive Brokers Podcast
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Feb 2, 2026 • 16min

Warsh or Peace? Markets Decode the Fed Nomination

In this episode of the IBKR Podcast, Steve Sosnick, Chief Strategist at Interactive Brokers, and Jose Torres, Senior Economist, break down the market reaction to Kevin Warsh’s Fed nomination. They examine whether Warsh is a policy hawk, a political pragmatist, or something in between, and what his potential influence means for interest rates and investor expectations heading into the second half of the year.
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Feb 2, 2026 • 10min

What Does Japan’s Snap Election Mean for Markets?

From political strategy to market impact, this IBKR episode explores how Japan’s snap election could reshape bonds, FX, and equities. Nicholas Ng unpacks the policy signals driving the “Japan trade” and what investors should be watching next.
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Jan 29, 2026 • 20min

Is the Global Economy Set for a 2026 Rebound?

As global markets move into 2026, investors are watching rate cuts, fiscal policy and artificial intelligence reshape the growth outlook. Nasdaq's Michael Normyle breaks down the economic tailwinds and market dynamics that could define the next global growth cycle.
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Jan 28, 2026 • 9min

Is Big Tech Reclaiming the Throne?

Big Tech is showing renewed strength as market leadership broadens beyond a narrow group of names. In this IBKR Podcast episode, Kevin Davitt of Nasdaq joins Andrew Wilkinson to break down what’s driving the rally, the role of semiconductors, consumer resilience and whether Big Tech is reclaiming its place at the center of market influence.
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Jan 26, 2026 • 27min

Is Silver Ready to Outrun Gold?

Jeff Praissman is joined by Will Rhind of GraniteShares to break down the evolving relationship between gold and silver, and why silver may be positioned to outperform in the current macro environment. From industrial demand and supply deficits to real rates, dollar weakness, and geopolitical risk, they explore whether silver’s long-awaited catch-up trade is finally underway.
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Jan 23, 2026 • 21min

Is Open Interest the Missing Signal in Options Trading?

Is open interest the overlooked signal that reveals where real risk and conviction are building in the options market? Market Chameleon’s Dmitry Pargamanik and Will McBride break down how traders can interpret open interest alongside volume and implied volatility to better understand positioning, sentiment, and price discovery.
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Jan 21, 2026 • 6min

Can Markets Shrug Off Tariffs and Tensions?

As global trade tensions resurface, markets are once again reacting to headlines around tariffs, geopolitics, and policy signals from abroad. Jeff Praissman sits down with Scott Bauer of Prosper Trading Academy to break down what’s moving markets, what investors should watch next and whether earnings and economic data can steady the ship.
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6 snips
Jan 21, 2026 • 16min

Why Chinese Markets Are Back on Investors’ Radar

Xiaolin Chen, Head of International at KraneShares, shares insights on the resurgence of Chinese markets in early 2026, attributing it to supportive policies and a reopened IPO pipeline. He highlights significant shifts in focus towards AI commercialization and the importance of the 15th Five-Year Plan. Real estate concerns are fading as investors turn to emerging sectors. Chen discusses China's strategic trade diversification and the growing link with ASEAN and Europe. This dynamic landscape is reshaping global investment opportunities.
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Jan 14, 2026 • 6min

Flat Markets, Big Questions

Markets may look calm on the surface, but beneath the flat tape are growing questions around rates, bonds, earnings and sector risk. In this fast paced Midweek Minute, Jeff Praissman and Scott Bauer break down what’s really driving sentiment and what investors should be watching next.
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10 snips
Jan 12, 2026 • 16min

Drill, Baby… Maybe?

Joining the discussion are Steve Sosnick, Chief Market Strategist known for his insights on monetary policy and energy dynamics, and Jose Torres, Senior Economist who specializes in labor market trends. The conversation dives into disappointing job growth and its implications for financial markets. They analyze how political influences are reshaping the Fed landscape and why oil companies are hesitant to invest in Venezuela despite rising prices. The duo warns of potential market fallout from government interventions in the energy sector.

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