• Breaking Down the Latest USDA Reports: Grain Stocks, WASDE, and Technical Outlook
    Jan 14 2026


    Market Strategist Lane Dungan provides an in-depth analysis of the latest USDA reports, including the Quarterly Grain Stocks and January WASDE. He compares forecasted figures with actual results and examines how these updated data points are likely to influence market dynamics. Additionally, Lane offers a technical outlook, highlighting key chart patterns, support and resistance levels, and discussing potential market trends as we move into 2026.

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    5 mins
  • OPEC Strategy, Soft Demand, and the Path Ahead for Crude
    Dec 5 2025

    Crude oil continues to hover near sixty dollars a barrel as the market digests OPEC’s decision to hold production steady, rising inventories, and signs of softening global demand. Daniel Pavilonis, Senior Market Strategist, breaks down what is driving the current mild surplus backdrop, why the front month keeps gravitating toward the sixty dollar level, and how a flat forward curve reflects tempered long-term expectations.


    He also digs into the latest EIA data, China’s slower manufacturing activity, and the technical setup pointing to contained downside momentum — including what a break below fifty five could mean. Daniel highlights the key catalysts to watch from OPEC signals and capacity audits to macro trends, geopolitics, and yield movements shaping the narrative heading into 2026

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    11 mins
  • Breaking Down Jobs Data, Market Trends, and Metals
    Nov 21 2025

    Senior Market Strategist John Caruso breaks down the latest jobs numbers, including the missing October employment report and the jump in Challenger job cuts, and explains what they signal for unemployment and market volatility. He walks through his TRM grid, momentum indicators, and the recent five percent S&P correction to sixty six hundred, noting how Nvidia helped steady the broader market.


    John also shares his outlook on precious metals, highlighting consolidation patterns in gold and silver, supply tightness, and the bullish setup he sees heading into 2026. He closes with an update on crude oil’s continued downtrend and the macro forces shaping energy prices.

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    15 mins
  • Grain Market Momentum and WASDE Expectations
    Nov 14 2025

    Market strategist Lane Dungan breaks down the latest moves in corn soybeans and wheat with updates on China purchase commitments global supply shifts and current weather patterns. He reviews key technical levels including pivots resistance support and the recent three white soldiers pattern signaling bullish momentum.


    Lane also highlights soybean gap areas the shift in open interest toward March contracts and what traders should watch ahead of first notice day. The episode wraps with expectations for the November WASDE report and how yield estimates and ending stock projections may influence grain markets going into the new year.

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    15 mins
  • Fed Cuts, Metals Strength, Crypto Weakness, and Energy Trends
    Nov 7 2025

    Senior Market Strategist John Caruso breaks down the latest Fed decision, including Chairman Powell’s 25-basis-point rate cut and the shifting odds of another move in December. John explores the trade-offs between inflation control and supporting a softening labor market, highlighting why there may be no risk-free path ahead.


    He walks through current price action across major markets — from the S&P 500 pullback and a strong U.S. dollar to gold, silver, copper, and platinum, where long-term fundamentals still appear supportive. John also examines Bitcoin’s recent trend break and the potential for a deeper sell-off if key levels fail.


    Plus, he covers why natural gas may be poised for a move higher despite bearish fundamentals, and why crude oil looks vulnerable to further downside in the months ahead.


    If you follow macro drivers, trade signals, or are positioning into year-end, this is a timely breakdown you won’t want to miss.

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    24 mins
  • AI Investment Boom, Fed Rate Cuts, and the Next Metals Play
    Oct 23 2025

    Senior Market Strategist John Caruso unpacks Q4 macro trends driving markets — from resilient U.S. growth fueled by AI data center spending to a Fed poised for more rate cuts. He breaks down why inflation remains sticky near 3%, how the labor market is showing early cracks, and what the K-shaped economy means for investors. John also covers his outlook on equities heading into year-end, gold’s pullback amid strong central-bank demand, and why copper may be the next major accumulation trade as electrification and infrastructure expansion collide with tight global supply.

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    20 mins
  • Silver Shortages, Surging Demand, and the Metals Rally Ahead
    Oct 16 2025

    Senior market strategist Bob Haberkorn breaks down why silver and gold markets are turning sharply bullish, with physical shortages, soaring ETF demand, and unprecedented lease rates driving price movement. He explains the growing gap between spot and futures, why silver could hit $55 soon, and how central banks, sovereign wealth funds, and retail buyers are fueling the rally. Bob also touches on copper’s outlook amid tariff volatility and rising long-term industrial demand, along with how traders can use futures and options to manage risk in the current metals landscape.

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    13 mins
  • Gold Hits $4,000 as Fears of a Stock Slide Grow
    Oct 15 2025

    As gold surges toward $4,000, concerns about an impending stock market slide are gaining traction. In this episode, Bob Haberkorn, Senior Market Strategist, breaks down why investors are shifting toward precious metals, how silver is tracking alongside gold, and what economic signals are driving the move to safety. He also weighs in on the role options trading is playing in the current environment and how it may be signaling broader market caution. Haberkorn explains the conditions that could trigger a pullback in equities and why gold and silver may continue to climb even as stocks soften.

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    7 mins