
Is the Stock Market Already Done with the US-Iran War?
U.S. markets opened sharply lower after U.S. and Israeli strikes on Iran but largely recovered by the cash open, with the S&P 500 closing near Friday’s level after filling the downside gap. Gold jumped then eased, the dollar strengthened decisively, and crude oil gapped higher before cooling—yet price action suggests oil may have broken its 2023 downtrend, setting up higher structural levels if the move holds. Traders appear to be taking a wait-and-see stance, interpreting U.S. rhetoric as focused on air power and transactional outcomes rather than a long-term ground campaign. Broader supply and demand factors—especially disruptions tied to China and changes to the Russian “shadow fleet”—remain key drivers beyond the immediate geopolitical shock.

March 2nd, 2026 LIVE Stocks, Options & Futures Trading with Pros!(Market Open, Last Call & More)
Traders on the March 2, 2026 live session discussed volatile market reactions after a weekend geopolitical escalation, noting sharp gains in oil, gold and silver and steep weakness in equity futures. Professionals said much of the move looked telegraphed and...

LIVE: Stocks Recover From Major Sell-Off as Wall Street Watches Iran Fallout
The Market Domination broadcast centered on the market’s bounce back after a sharp sell‑off, driven by the unfolding US‑Israel strike on Iran and its ripple effects across energy, defense and crypto sectors. Wall Street saw defense names such as...

Oil and Gasoline Prices Spike as War Disrupts Shipments
Fighting in the Middle East has sharply disrupted oil and refined-product shipments, pushing tanker rates and crude prices higher as chokepoints like the Strait of Hormuz impede flows. While OPEC members signaled willingness to boost output quickly, physical disruptions and...

LIVE TRADING: Trade the Close with Mike Teeto 3/3/2026
Mike Teeto hosts a live, power‑hour trading session each Tuesday, scanning for high‑momentum stock setups in the final market hour. He demonstrates how to construct a focused watchlist for the next day and walks viewers through real‑time entry, exit, and...

Beginner-Friendly 0-DTE Options Trading Strategy ✨📈 #Shorts
The video promotes a free live demonstration where trader TG reveals a beginner‑friendly strategy for trading zero‑day‑to‑expiration (0‑DTE) options. TG claims the approach helped him increase his account by 420% within six months. Viewers will learn how to spot dip‑buy...

Markets Shrug Off Geopolitical Risk
U.S. equity futures swung sharply after weekend news of U.S.-Israel strikes on Iran but stocks largely stabilized, leaving major indices trading in a narrow range around the 6,900 area despite heightened volatility. Oil spiked roughly 7%, lifting select energy and...

The Big 3: RKLB, MNST, WMT
Tammy Marshall of Elliott Wave Trader uses Fibonacci analysis to pinpoint breakout potential in three distinct stocks: Rocket Lab (RKLB), Monster Beverage (MNST) and Walmart (WMT). She walks investors through example options trades, highlighting entry points and risk/reward profiles. Kevin...
![The Call @ Hedgeye [FREE ALL ACCESS WEEK] | March 2, 2026](/cdn-cgi/image/width=1200,quality=75,format=auto,fit=cover/https://i.ytimg.com/vi/AKuVdVkvtNE/maxresdefault.jpg)
The Call @ Hedgeye [FREE ALL ACCESS WEEK] | March 2, 2026
Hedgeye’s March 2 call — delivered during the firm’s free-access week — said its AI-derived “signal” is guiding positioning rather than macro forecasts, prompting a shift back into oil and energy after prior bearishness. The team warned the S&P 500...

Mastering Credit Spreads: High Probability Trades with Defined Risk
The video teaches a repeatable credit‑spread system that emphasizes defined risk and high probability setups. It outlines using a 15‑delta short strike, 30‑45 days to expiration, and a $5 spread width to capture premium while limiting loss. The presenter demonstrates...

If Your Strategy Only Works “Sometimes”… You’re in Trouble
Trading systems that only succeed in a single market condition are vulnerable as markets evolve. Shifts in volatility, trend direction, and liquidity can erode a strategy’s edge, turning occasional profits into losses. The podcast stresses the need for adaptive frameworks...

Actionable Swing Trade Ideas for March 2 - 6, 2026 | Market Update
Sami Taha’s weekly market update outlines swing‑trade ideas for March 2‑6, 2026, highlighting a curated bullish watchlist (including ACVA, CAPR, MRNA, NOW) and a bearish list (AI, ZM, PAYO, QURE). The video emphasizes that the analysis is educational, not a direct recommendation,...

High Volatility + Reversals: The Real Reason Leveraged ETFs Underperform
The video examines why leveraged exchange‑traded funds (ETFs) tend to underperform during turbulent markets, focusing on the empirical link between volatility and serial correlation rather than volatility alone. The presenter challenges the common narrative that volatility is inherently detrimental, showing...

Why I Trade 25 Strategies After 17 Years of Trading (Dave Mabe)
Dave Mabe, a veteran day trader with roughly two decades of experience, explains why he now operates 25 fully automated strategies every market day. After an early career of swing and discretionary trading, he transitioned to systematic approaches, recognizing that...

I Use This Supertrend Indicator Strategy (Most Traders Use It Wrong)
In this video Ezekiel Chiu explains why most traders misuse the SuperTrend indicator, treating its color changes as a simple buy‑or‑sell switch. He argues that the indicator was designed to grant "trade permission"—signaling when market conditions justify a bullish or...

The 95% Win Rate Scalping Trade Setup
Video presenter markets a “quad divergence” scalping method as a near‑holy‑grail, promising a 95% win rate on CME futures such as MES and ES. He describes the pattern as a combination of a quad rotation on higher time frames and...

Consolidation = No Trades? Think Again 👀🔥
The video challenges the notion that consolidation periods are trade‑free, arguing that disciplined traders can still capture profit. The presenter explains he employs a suite of strategies—some for trending markets, others for sideways ranges. He demonstrates advanced harmonic‑like patterns (X‑A‑B‑C‑D) on...

8 High-Probability Trade Setups This Week | Forex, Silver, NASDAQ & More
Tier One Trading released a video outlining eight high‑probability trade setups across forex pairs, silver, and the NASDAQ Composite. The analysis uses top‑down technical frameworks, candlestick strength, triangle and pennant breakouts, and advanced harmonic patterns such as Gartley, Bat, and...

Stock Market Today: NVDA & CRWV Weakness, WBD Bidding War Ending, XYZ Rallies #shorts
Today's market recap showed all major indices slipping over 1% this week, with the Dow and Russell leading declines. Tech heavyweights Nvidia and CoreWeave bore the brunt of investor anxiety over looming hyperscale capex, despite Nvidia's record‑breaking revenue and strong...

This 3-Timeframe Setup Changes Everything
The video introduces the "trifecta" setup – a three‑timeframe intraday pattern where a stock simultaneously breaks above its 20‑period moving average on the 2‑minute, 5‑minute and 15‑minute charts. The presenter stresses that each timeframe’s 20‑MA is distinct, so alignment across...

The Hidden Signal That Lets TG Predict Major Market Turns
The English Heritage podcast recounts the legendary romance of Catherine Neville, daughter of Lord Ralph Neville of Bostick (Bostic) Castle in North Yorkshire, and Sir John Fall, a commoner who secretly won her love. Pregnant and forbidden to marry, the...

Friday's Final Takeaways: Two Sides of AI Disruption in CRWV & XYZ
Market on Close wrapped the week with a stark contrast in AI’s impact. Block’s decision to cut nearly half its workforce, citing AI efficiencies, sent its shares sharply higher, while the broader software sector suffered sell‑offs as investors worry about...

NFLX Jumps After Losing WBD Bidding War to PSKY
Netflix stock surged on Friday after the streaming giant lost its bid for Warner Bros. Discovery to Paramount Skydance. The rebound was driven by strong technical signals, including a breakout above key moving averages. Options activity also exploded, with volume more...

U.S. Stocks Sink After PPI Inflation Surprise
U.S. equities fell sharply on Friday after January's producer price index rose 0.5% month‑over‑month, outpacing the 0.3% forecast, and fintech firm Block announced a near‑50% workforce cut to adapt to AI‑driven changes. The Dow Jones lost about 800 points, down...

How TG Grew His Account by 420% in 6 Months
TG Watkins, director of stocks at Simpler Trading, used a live webinar to detail how his Moxie Indicator helped him turn a modest portfolio into a 420% gain in six months and a 2,060% options windfall in 30 days. He...

Today on Taking Stock | Stocks Fall as @Nvidia Weighs on Tech Despite Strong Earnings
U.S. markets closed mixed: the S&P 500 fell about 0.5% while the Dow edged up and the Russell 2000 and NYSE Composite finished higher as investors rotated away from mega-cap AI leaders. Nvidia posted strong earnings but post-report momentum faded,...

Nvidia Earnings: The Ultimate Coin Flip
The video dissects Nvidia’s post‑earnings market turbulence, noting that the chip‑maker’s stock surged in after‑hours trading only to tumble to $184.89, a 5.5% decline and its worst single‑day drop since last year’s tariff‑related sell‑off. The host warns that the rapid...

This Is Where Traders Get Trapped
In the February 26 Thursday review, Sam notes that the S&P 500 has been confined to an unusually tight trading range for almost three months, hovering around a weekly 10‑point band and offering little directional clarity. He recaps last week’s predictions—a mechanical short‑squeeze...

Equity Indices Moved Off Session Lows Following Earnings Reports. 2/26/26
The video recaps Tuesday’s market action, highlighting how equity indices rebounded from early session lows after mixed earnings from tech giants NVIDIA and Salesforce. The S&P 500 and Dow Jones clawed back losses, while the Nasdaq stayed more than 1%...

Why Your SMC Trades Fail (Internal vs External Structure)
The video explains why many Smart Money Concept (SMC) traders fail: they focus on internal price swings without recognizing the broader external market structure. Justin Bennett demonstrates the distinction using EUR/USD on a four‑hour chart and stresses that understanding both...

Market Does as the Market Does | 2/26/26 Cattle Chatter
The latest Cattle Chatter segment, recorded at Commodity Classic in San Antonio, examined why cattle futures have surged to record highs despite a lack of obvious catalysts. Hosts Susan Littlefield and Brad Kimma highlighted the industry’s historically tight supply, ongoing...

DELL Dials Back Before Earnings, Key Levels Signal Breakout Potential
Dell Technologies is set to report earnings after Thursday’s close, having outperformed many peers yet lagging the S&P 500 year‑over‑year. Analysts note robust options activity and key price levels that could signal a breakout. The company’s performance in client solutions...

Nvidia Vs. SanDisk: The Old Meets the New
In a recent T3Live video, hosts Derrick Oldensmith, JR Romero, and Sami Abusaad debated whether Nvidia’s dominance in artificial‑intelligence hardware is waning in favor of SanDisk’s emerging memory solutions. They examined the wide trading range in the S&P 500 (SPY), highlighted several...

Is NVIDIA a Crowded Trade? Two Perspectives
NVIDIA reported record revenue and an earnings beat, yet its shares slipped 5% after the announcement. The company highlighted strong AI demand and guidance that extends contracts through 2027. Analysts are split: some see the dip as a buying opportunity...

Be Predictive in Analysis. Reactive in Execution.
The speaker argues that successful trading hinges on separating analysis from execution: analysts should build predictive, “if‑then” models, while traders must remain reactive when the market moves. He emphasizes preparing for both upward and downward price scenarios, using predefined response plans...

Software Stocks Are Getting Crushed. Here's a Trade
NVIDIA’s earnings beat expectations but the stock slipped 4%, prompting a mixed options playbook. The episode highlights two bullish short put spreads—NVIDIA and gold (GLD)—and two bearish short call spreads on Coca‑Cola and Salesforce. Each trade is defined‑risk with more...

The Big 3: XLF, RKLB, MSFT
After Nvidia’s earnings miss sparked a sharp sell‑off across the technology sector, market commentator Jason Brown argued that the rally is insufficient to satisfy investors. He highlighted three alternative plays—SPDR Financial Sector ETF (XLF), Rocket Lab (RKLB), and Microsoft (MSFT)—as...

Nvidia Post-Earnings Iron Condor | Options Trade of the Day
Tony Battista outlines a post‑earnings iron condor on Nvidia after its earnings‑driven price swing. The trade exploits a sharp drop in implied volatility rank and a re‑established multi‑month range. A $10‑wide, delta‑neutral spread in the April series combines a bullish...

Nvidia After Earnings & CoreWeave Trade Setup | Market Movers
Nvidia’s latest earnings beat sparked a sharp post‑release price dip, prompting a neutral premium‑selling strangle trade that benefits from the stock’s elevated implied volatility. The episode also previews CoreWeave’s upcoming earnings, recommending a high‑probability out‑of‑the‑money put to capture the anticipated...

Nvidia Drops on Investor Sentiment; Papa John's Down on Sales Miss | Stock Movers
The video spotlights three headline movers – Nvidia, GoodRx and Papa John’s – and their outsized impact on today’s market narrative. Nvidia’s shares fell more than 4%, briefly hitting a 5.6% plunge, marking its worst session since November after an...

From Struggle to Consistency: AXIA’s Trader Formula
The video introduces Axia’s “Trader Formula,” a systematic framework designed to turn struggling traders into consistent, high‑earning professionals by teaching them how to navigate four distinct market environments. The firm argues that longevity in trading depends not on chasing the...

Analysts Raise NVDA Price Targets, Stock Falls After Earnings
Nvidia (NVDA) posted a blockbuster earnings report that beat revenue and profit forecasts, prompting multiple analysts to raise their price targets across the board. Despite the upbeat fundamentals, the stock opened lower and slipped about 2% in early trading. Analysts...

Daily Market Coverage Feb. 26, 2026 9AM-11AM (ET) | Yahoo Finance
Nvidia posted a strong earnings beat on revenue and profit, yet its shares slipped more than 2% as investors questioned the lack of guidance on China revenue and the sustainability of AI‑driven demand. Salesforce missed revenue forecasts, extending a broader...

NVDA Plunges After Opening Bell, Software Shows Bullish Traction
Nvidia (NVDA) opened Thursday sharply lower, extending a recurring pattern of post‑earnings sell‑offs that has emerged over recent quarters. Despite posting robust earnings that beat expectations, the stock fell as investors booked profits and reassessed valuation amid heightened AI hype....

Where Is the Bottom for Bitcoin?
The video argues crypto is in a bear market since its October 2025 peak, with Bitcoin making lower lows. The presenter says timing an exact bottom is impossible and recommends dollar-cost averaging through 2026 while watching price and historical patterns....

Post-Earnings Volatility, AI Repricing & The Fed Factor
Chris Vecchio analyzes the surge in Nvidia’s post‑earnings volatility as AI‑driven expectations are repriced. He highlights a short‑term “AI scare” trade targeting software stocks, prompting options traders to recalibrate positions. The discussion also underscores that Federal Reserve commentary and interest‑rate...

Market Crash or Buying Opportunity? How to Trade the Reversals in Gold & Silver and FX
Recent market turbulence has seen Bitcoin, AI stocks, gold, silver and the Japanese yen swing from rapid gains to sharp declines. The video promotes an upcoming Urban Forex webinar that will teach traders how to navigate these reversals safely. It...

Want to ONLY Trade When There’s a Real Edge?
The webinar centered on trading only when a clear edge exists, using the “squeeze” pattern as a high‑probability signal and emphasizing rigorous risk management for options traders. The presenter warned against reckless strategies like naked calls, highlighted the current market...

My Day Trading Pre-Market Routine As A Full-Time Trader
The video walks viewers through a full‑time trader’s pre‑market routine, emphasizing a price‑action day‑trading system centered on the London and New York sessions. He explains how he prepares each Sunday, marks red‑news events on a whiteboard, and sets up a minimalist...

Francis Hunt: 'Turbo-Juiced' Gold, Why Parabolic Silver Is Next & The Fiat Collapse
Francis Hunt, founder of The Market Sniper, warned that the fiat‑based monetary system is entering a collapse phase, positioning gold as the ultimate hedge. He predicts a parabolic surge in silver that could drive the gold‑silver ratio into single‑digit levels....