
IBKR Podcasts
Interactive Brokers (IBKR) Podcasts offers market commentary on a variety of topics and asset classes. Episodes include discussions with IBKR employees, researchers, and leading financial services companies.
Latest episodes

Sep 1, 2023 • 13min
Consumer Spending is Running Against the Wind
Discussion on surge in US credit card debt and its effects on consumers and the economy. Impact of reduced savings on spending behavior. Analysis of delinquency rates, variable rate debt, and student debt payments.

Aug 31, 2023 • 22min
It’s Option Implied Volatility Time[Spread]
Mat Cashman Mat Cashman, Principal of Investor Education at the OCC joins IBKRs Senior Trading Education Specialist Jeff Praissman to discuss the concept of implied volatility and duration in pricing time spreads.
Contact Information:
For more free options education from The Options Industry Council (OIC), an industry resource provided by OCC, visit OptionsEducation.org.
Have an options-related question? Contact the OCC Investor Education team at options@theocc.com or via live chat on OptionsEducation.org.
Connect with OIC Instructor, Mat Cashman.
DISCLOSURE: OPTIONS (WITH MULTIPLE LEGS)
Options involve risk and are not suitable for all investors. For information on the uses and risks of options, you can obtain a copy of the Options Clearing Corporation risk disclosure document titled Characteristics and Risks of Standardized Options by visiting ibkr.com/occ. Multiple leg strategies, including spreads, will incur multiple transaction costs.

Aug 23, 2023 • 9min
Bondmageddon
A confluence of factors has put paid to calm within the US bond market: Joe Burke and Andrew Wilkinson discuss a mountain of new issuance by the US government, strength across the US economy and the impact of Bank of Japan policy causing domestic investors to favor local debt over the traditional safe haven of US debt.

11 snips
Aug 22, 2023 • 34min
Might Correlation be the Key to Understanding VIX?
Topics discussed include volatility, correlation, bonds, 0DTE options, Volmageddon, institutional investor strategies, role of VIX, dispersion index, investor complacency, tail hedge, options trading risks and opportunities, systemic risk, correlation between duration and credit risk in corporate bond market, advantages of trading options on futures.

Aug 9, 2023 • 16min
Might Hotter Weather Bring Hotter Inflation?
Steve Sosnick, chief strategist, is joined by Jose Torres, senior economist, and Joe Burke, head of fixed income. They discuss the July employment report, the ramifications of the 2-10 inversion, and how hotter weather might be affecting gasoline prices, utility expenditures, and thus consumers’ finances.

Aug 3, 2023 • 20min
You’re My Hero, Zero[DTE] Options
Will McBride and Dmitry Pargaminik, cofounders of Market Chameleon join IBKR’s Jeff Praissman to Zero Days To Expiration Options.
Contact Information:
https://marketchameleon.com/
support@marketchameleon.com
Note: Any performance figures mentioned in this podcast are as of the date of recording (July 10, 2023).
DISCLOSURE: OPTIONS (WITH MULTIPLE LEGS)
Options involve risk and are not suitable for all investors. For information on the uses and risks of options, you can obtain a copy of the Options Clearing Corporation risk disclosure document titled Characteristics and Risks of Standardized Options by visiting ibkr.com/occ. Multiple leg strategies, including spreads, will incur multiple transaction costs.

Aug 3, 2023 • 17min
Inflation and the Two Speed Economy
Michael Normyle – Nasdaq’s US Economist joins IBKR’s Andrew Wilkinson and Jeff Praissman to discuss the current state of the economy and how manufacturing and services are pulling it in two different directions.
Contact Information:
Email: Michael.Normyle@nasdaq.com
Web: www.nasdaq.com
Note: Any performance figures mentioned in this podcast are as of the date of recording (July 17, 2023).

Jul 24, 2023 • 13min
H4L – An Introduction to Higher for Longer
With a 90% expectation that the Fed will lift rates again at its July meeting Neil Azous discusses the number one question amongst portfolio Managers these days, which is reinvestment risk and how far along the yield curve they should target.
Sponsor Information:
Email: nazous@rareviewcapital.com
Web: www.rareviewcapital.com
Note: Any performance figures mentioned in this podcast are as of the date of recording (July 20, 2023).

Jul 20, 2023 • 33min
Volatility Topics: An Asset Class? SPIKES. Volmageddon? 0DTE
Joe Tigay, CTO of Equity Armor Investments, and Kaitlin Meyer, VP at MIAX Exchanges, join Steve Sosnick, Interactive Brokers’ chief strategist, for a wide ranging discussion about volatility. Topics include: whether volatility is indeed an asset class, will the current low-vol regime persist, and tools for expressing views about volatility, including MIAX’ suite of SPIKES products.
Contact Info:
LinkedIn – Company:
https://www.linkedin.com/company/miax-exchange-group/
Website:
https://www.miaxoptions.com/
Note: Any performance figures mentioned in this podcast are as of the date of recording (June 28, 2023).
DISCLOSURE: OPTIONS TRADING
Options involve risk and are not suitable for all investors. Multiple leg strategies, including spreads, will incur multiple commission charges. For more information read the “Characteristics and Risks of Standardized Options” also known as the options disclosure document (ODD) or visit ibkr.com/occ

Jul 18, 2023 • 36min
“I Have Some Good News!” Said the Technical Analyst
CMT’s Tyler Wood discusses the relative strength and weakness of technical analysis and, despite a woeful outlook on the US economy, offers a positive outlook from a charting perspective.
TYLER WOOD, CMT
Managing Director, CMT
tyler@cmtassociation.org
Website: CMTAssociation.org
CoHost of Fill the Gap
Note: Any performance figures mentioned in this podcast are as of the date of recording (July 5, 2023).