
Diesel Price Surge Continues, to Rise by up to P23.90/liter | INQToday
The Philippines’ diesel price is set to climb by as much as P23.90 per liter, marking the latest surge in fuel costs. The hike reflects rising global crude oil prices and domestic tax adjustments. Analysts warn that higher diesel rates will ripple through transportation and logistics sectors. Consumers and businesses alike face tighter margins as fuel expenses swell.

Peso Weakens Further to 59.87 vs $1 | INQToday
The Philippine peso slipped to a fresh record low of 59.87 per U.S. dollar on March 16, prompting the Bangko Sentral ng Pilipinas (BSP) to step in as the currency neared the psychologically significant 60‑peso barrier. The peso closed 13.5 centavos...

Will Iran Conflict Make the Fed Hawkish This Week?
The episode centers on the Federal Reserve’s upcoming March meeting and whether the escalating Iran‑Israel conflict will push the Fed toward a more hawkish stance. Host Sarah Wheeler and lead analyst Logan Motoshami argue that, regardless of geopolitical developments, the...

The U.S. Helps India and Russia Helps Iran || Peter Zeihan
Peter Zeihan explains that the Trump administration recently issued a temporary waiver allowing India to import Russian crude oil, a move designed to offset the abrupt loss of Persian Gulf supplies after the Gulf was effectively shut down. The waiver...

Oil Prices Set to Rise Again | Afternoon Delight
Energy Secretary Sharon Garin announced that Philippine gasoline prices will rise again starting Tuesday, March 17. The increase will be implemented through three successive adjustment rounds at fuel stations. The announcement follows recent global oil price pressures and the country's...

Bazaar: The Most Comprehensive Show On Stock Markets | Full Show | March 16, 2026 | CNBC TV18
CNBC TV18 launched "Bazaar," a daily show delivering comprehensive stock‑market updates, alerts, and trading ideas for Indian investors. The program streams live on YouTube and integrates with CNBC‑TV18’s website, mobile minis, and social channels. It highlights key indices such as...

Stock Market Midday Update | Nifty Near 23,200, Realty Stocks Under Pressure | Business News
The video unexpectedly focuses on crane safety rather than market action, using a construction-site scene to explain the role of a tagline. It shows a worker on the ground holding a rope attached to a suspended load, clarifying that the...

New Data Reveals Where Property Is Heading in 2026 | Dr Nicola Powell
The podcast unpacks Domain’s latest First‑Home Buyer Report, highlighting how Australia’s housing market is bifurcating as 2026 approaches. While interest‑rate hikes, tax reforms and global instability dominate headlines, the data reveal that entry‑level properties are still posting double‑digit gains, especially...

Nifty Around 23,000, Sensex Falls 420 Points; Oil & Gas, Realty Stocks Drag | CNBC TV18
Indian equity markets slipped as the Nifty hovered around the 23,000 mark while the Sensex dropped about 420 points amid broad weakness. Losses were led by oil & gas and realty sectors, which dragged benchmark performance despite pockets of buying...

Imports Of Key Raw Materials Disrupted Amid War In West Asia: Energy Supply Crisis To Add More Pain?
Industry groups warn that war-driven disruptions to West Asian energy and raw-material imports have caused intermittent shortages of LPG, LNG, propane and natural gas, as well as scarcity of chemicals, aluminum scrap and packaging materials. Auto-component and specialty-chemicals makers report...

Navigate With HSBC | Global Investing In A Shifting World | N18M
HSBC strategists advise investors to lean into geographic, sector and asset-class diversification to manage geopolitical noise and structural shifts, with Asia—especially India—favored outside the US. They highlight trends including a weakening dollar, reshaped supply chains, onshoring in industrials and accelerating...

Bond Market Outlook: Why 7% Yields Are Catching Attention | Where Should Investors Put Money Now?
Basant Bafna, head of fixed income at Mirae Asset Mutual Fund, says current fixed-income markets present an attractive carry opportunity as OIS and corporate bond curves have risen sharply while overnight rates remain low. Spreads—particularly in AAA non-SLR corporates—are well...

Nifty Futures Remained Flat During The Session, Indicating A Range-Bound Market | Business News
Nifty futures traded flat and largely range-bound, with only modest intra-day short-covering that briefly pushed the index lower. F&O flows show concentrated put-writing around 22,800–23,200 ahead of the weekly expiry, while call writers gained activity as the index dipped into...

The COB: Safe-Haven Slide
Australia’s share market slipped about 0.4% near the close as miners and gold stocks led declines while energy names rallied. Oil surged above $100 a barrel—up roughly 40% in a month due to Middle East tensions and a drone attack...

Japan Mines Pacific Seabed to Loosen China's Grip on Rare Earths | FT #shorts
Japan announced an ambitious deep‑sea mining program to extract rare‑earth elements from the Pacific seabed, aiming to blunt Beijing’s stranglehold on critical minerals. The initiative centers on the Minami Torihama deposit discovered in 2011, located about 1,900 km southeast of Tokyo within...

PSU vs Private Banks: Where Should Investors Put Their Money Now|Should Investors Switch Strategies?
Motil Oswal’s head of BFSI institutional equities, Nitan Aaral, says India’s banking sector is on a path to earnings recovery as credit growth stabilizes and asset quality remains benign. Public sector banks have recently regained some market share and, backed...

How Geopolitics Is Reshaping Markets and What Lies Ahead for Investors
Investors are turning their attention to a potential war on Iran as the International Energy Agency’s record oil release begins to flow into the market, keeping Brent near US$100 a barrel. DBS’s second‑quarter 2026 report underscores that Middle‑East conflicts historically...

Why Michael Thinks These Energy Stocks Have More Upside | Trade
Rising Middle East tensions have driven oil above $100 and pushed inflation expectations higher, prompting forecasts for more central-bank tightening and elevated bond yields. Michael Gable of Fairmont Equities argues the energy sector—long underweighted by investors—is the year’s top opportunity,...

VXX Has 92% Correlation to VIX. So Why Does It Keep Losing Money?
The Trading Evolution episode breaks down why the VXX exchange‑traded note, despite a 92% correlation with the spot VIX, consistently loses value. VXX’s design blends front‑month and back‑month VIX futures and rebalances daily, generating a 4.5% annualized roll cost that...

The Options Course Wall Street Doesn't Want You to Take
Tastylive launched a beginner‑focused options course that walks traders through opening and closing multi‑leg strategies, such as a Caterpillar strangle, a Netflix iron condor, and a PayPal roll, using the tastytrade platform. The curriculum explains the distinction between buying to...

THE 2008 REPEAT: Why the S&P 500 Just Triggered a Multi-Year Bear Market 🚨
Gareth Soloway argues the S&P 500 has entered a multi-year bear market after forming a rounded-top distribution pattern and breaking key trendlines, with mega-cap weakness confirming the rollover. He draws a close parallel to 2007–08, citing a sharp oil spike...

Hurricane Houses in Florida Taking Big Price Cuts. (2026 Housing Warning)
The video highlights a sharp decline in Florida’s hurricane‑damaged housing market, where properties hit by Hurricane Helen are being listed at dramatically reduced prices. Values have fallen as much as 40% over the past two years, with the Zilla area seeing...

Actionable Swing Trade Ideas for March 16 - 20, 2026 | Market Update
The video delivers swing‑trade ideas for the week of March 16‑20, 2026, while emphasizing that the broader market has shifted into a bearish stance. The host points to the SPY daily chart, noting a lack of bullish structure, recent red bars,...

Prediction Markets Surge as NCAA Tournament Tips Off Soon
Prediction markets are rapidly transitioning from niche hobby to a mainstream asset class, with trading volumes for the NCAA Men's Basketball Tournament soaring 3,000% year‑over‑year. Unlike traditional sportsbooks, these federally regulated exchanges operate like financial markets, offering peer‑to‑peer trading and...

The Narrow Wings Secret: Rolling 0DTEs Like a Pro
Tastylive’s Market Measures segment analyzed three years of SPX zero‑day‑to‑expiration (0DTE) rolls, comparing iron flies, iron condors, and vertical spreads. The study found that rolling into narrower‑wing positions consistently improved win rates, especially when the second trade was directional rather...

Jacob Mitchell Is Finding Value in Places AI Can't Touch
Jacob Mitchell, CIO of Antipities Partners, explains the launch of the Antipities Global Value Active ETF (AGX1) as a pragmatic, value‑focused alternative to heavily concentrated passive benchmarks. He argues that the shift toward US tech and growth has left the...

The Charts Called This Selloff Weeks Ago. Here's What They're Saying Now
Technical analyst Tim Knight argues that recent chart patterns across major ETFs—SPY, IWM, QQQ, EEM and EFA—have been signaling a broader market sell‑off for weeks. He points to a distribution top in SPY, a failed trend line in IWM, and...

Building a Legal Basement Suite in Ontario | $70K Incentive Breakdown
The video walks viewers through a 650‑sq‑ft basement accessory dwelling unit (ADU) being built in Burlington, Ontario, and explains how the province’s incentive programs can return up to $70,000 to the owner once the unit receives an occupancy permit. Yaser outlines...

This SPX Butterfly Just Executed Live on the Floor. Here's Why We Love It.
During a live Options Trading Concepts broadcast, Mike Butler and Jermal Chandler executed a seven‑day SPX butterfly spread on the floor, demonstrating strike selection and fill dynamics. They showed how a narrow, near‑term butterfly can offset risk from an existing...

Why You Never Put Ninja 9 Funds Imto A Retirement Account
Economic Ninja, a former firefighter turned investor, warns viewers against parking the Ninja 9 system’s capital in tax‑deferred retirement accounts. He argues that the perceived “free money” of pre‑tax contributions can become a liability when market cycles turn hostile. He cites a...

HEAT MAP: What IVR and the 5-Day IV Change Are Telling Options Traders Right Now
The daily market recap for March 12, 2026 highlighted sector performance and implied‑volatility metrics. Energy and utilities were the only sectors posting gains, while financials and semiconductors lagged. The segment emphasized that a high Implied Volatility Rank (IVR) paired with...

Hedgeye NexGen | Inflation (Iran Conflict Edition)
The Hedgeye NextGen episode, hosted by Ryan Richie and Jose, examined how the ongoing Iran‑Houthi conflict is feeding a new wave of inflation by disrupting oil flows through the Strait of Hormuz. The hosts showed WTI crude jumping from roughly $60...

Blanket Appraisals Are PROPPING UP CONDOS
The video spotlights the growing reliance on blanket appraisals to prop up Canadian condominium projects, arguing that these generic valuations mask true market risk and inflate loan amounts. Speakers describe how developers and banks use a single, high‑level appraisal to...

Can Figma Be a Multi-Bagger After Its 80% Decline?
The video dissects whether Figma, the collaborative design platform that saw its stock plunge 80% after a hot August IPO, can still become a multi‑bagger. It frames the discussion against Adobe’s aborted $20 billion takeover, the rise of generative AI in...

Raluca Filip, CFA: Helping Investors Navigate Risk, Volatility, and Second Thoughts
The podcast with CFA charterholder Raluca Filip focuses on helping financial advisors guide clients through heightened volatility, hesitation, and second‑thoughts about risk. Filip explains that investors often enter markets with bullish expectations and underestimate volatility, leading to panic when portfolios turn...

Top 10 Worst Cities to Rent in 2026
The video ranks the ten U.S. metros where renters will allocate the largest share of earnings to housing in 2026, using rent‑to‑income ratios as the metric. Miami leads at 26.5% of median income, followed by New York City at 38%, Los...

How to Build a Multi-Generational Portfolio | The Davis Dynasty W/ Kyle Grieve (TIP799)
The video opens by emphasizing that knowing who you’re speaking to is the foundation of any successful venture, whether a product launch, marketing campaign, or broader business strategy. Kyle Grieve stresses that audience insight drives decision‑making and reduces costly missteps. He...

The Put/Call Ratio Just Sent a Warning...
The video centers on the SIBO put/call ratio as a market‑sentiment gauge, featuring an interview with Helen Mesler and a walkthrough of the metric on sibo.com. It highlights how the ratio can differ across market segments, offering traders a real‑time...

Why a U.S. Energy Export Ban Is a Last Resort Amid Oil Volatility
The interview examines a possible U.S. ban on crude oil exports as a last‑ditch tool to tame domestic fuel prices amid the Middle‑East conflict and volatile global markets. Analyst Michelle Brohard notes the United States ships roughly 4‑5 million barrels of crude...

Gas Prices & Airfare Spike as Iran War Drags On
The segment focuses on the sharp rise in gasoline and airfare as the Iran‑Israel conflict drags on, highlighting how geopolitical tension in the Strait of Hormuz is feeding into U.S. fuel markets. The host and analyst discuss the speed at...

The BEST Advice for New Traders!📈 #StockMarket #OptionsTrading #Trading #Finance #Investing
Technical analyst Helene Meisler, formerly of Goldman Sachs and now at The Street, joined Christopher Vecchio on the Trading Trends podcast to dissect how put/call ratios, sentiment surveys, and chart patterns interact during market volatility. She highlighted that retail options...

Adobe Beat Earnings and Still Dropped 14%. Here's What the Options Market Says Next
Adobe reported a revenue and earnings per share beat, yet its shares fell 14% after market close. The decline was amplified by uncertainty surrounding the CEO transition, as no successor has been named. Options traders observed a spike in near‑term...

Oil, Inflation & Interest Rates: The Hidden Risk for Canadian Real Estate Investors
The video warns Canadian real‑estate investors that oil price volatility, sticky inflation, and shifting short‑term rates form a hidden risk trio that can upend project financing. Josh and Aaron explain how geopolitical flashpoints—such as the Iran conflict—push crude above $100...

Where’s the Best Place to Stash Your Cash?
Morning Star’s Margaret Giles and Christine Benz explore where investors should park cash as yields retreat after Federal Reserve rate cuts. While nominal returns on cash‑type assets remain above inflation, the conversation underscores that cash’s primary function is preservation of...

My EXACT Day Trading Strategy (Simple & Repeatable)
Ezekiel Chu breaks down a three‑step day‑trading framework that moves beyond hype and random indicators, focusing on market structure first. He argues that successful intraday trading begins with mapping support and resistance zones on higher timeframes—daily or 4‑hour charts—to define...

Day Trading 15min Chart on AUD/USD
The video walks viewers through a live day‑trading setup on the AUD/USD pair, focusing exclusively on 15‑minute candles to capture short‑term momentum. The trader notes that the pair has been trending lower since the Asian session high, with roughly 26 pips still...

Risk and Reward with Marek Capital Co-Founder Matt Cherwin | At the Money
In this Bloomberg Masters in Business episode, host Barry Ritholtz sits down with Matt Cherwin, co‑founder and chief investment officer of Merrick Capital, to unpack his 20‑year trading career and the firm’s contrarian credit strategy. Cherwin recounts moving from JPMorgan’s spread‑markets...

Today on NYSE Live | As ICE Brent Crude Oil Hits $100 a Barrel, Market Experts Explain What It Means
The NYSE Live broadcast opened with a focus on ICE Brent crude breaching the $100‑a‑barrel threshold, a development that has already nudged the S&P 500 lower and set the tone for the day’s market conversation. Anchoring the discussion was...

VWAP Strategy Will Blow Your Mind!
The video walks viewers through a VWAP‑based trading plan, emphasizing that traders must first confirm the market has enough volatility—typically 60‑80% of the Average True Range (ATR)—before deploying any band‑fade strategy. Using the Dow Jones as an example, the presenter...

Squawk Box Europe - 13-Mar-26
The Squawk Box Europe broadcast focused on a sharp escalation in global energy markets, driven by Iran’s new Supreme Leader vowing to keep the Strait of Hormuz shut and the resulting breach of $100 a barrel for Brent crude—the first...