Trading Justice
Welcome out to another Trading Justice podcast. We’ve got a packed show this week as the market continues to react to Fed uncertainty, rising oil prices, and heavy geopolitical tension in the Middle East. We break down the latest developments surrounding the Iran conflict, the impact of higher crude prices, and why the market continues to feel heavy while traders wait for support to build during the current correction cycle.
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Welcome out to another Trading Justice podcast. We’ve got a packed show this week as the market continues to trade headlines surrounding the Iran conflict, crude oil, and the Strait of Hormuz. We break down the latest escalation around Kharg Island, why oil remains the key macro driver right now, and what traders should actually be watching while volatility stays elevated. We also preview this week’s Fed meeting and take a look back at Jay Powell’s tenure as Fed Chair. With only a couple meetings left before his term ends, we walk through the biggest moments of the Powell era — from...
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This episode of Trading Justice breaks down a market being driven by geopolitics as oil headlines dominate the narrative. Matt and Mark begin with the escalation in the Middle East and why crude oil has become the central macro variable for markets right now. They discuss the Strait of Hormuz, the importance of Karg Island to global oil supply, and how energy infrastructure risk could influence inflation expectations and market volatility. The conversation then turns to the latest labor report, which came in far weaker than expected. The hosts examine what the data may be signaling about...
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This episode of Trading Justice breaks down a market that refuses to trend even as headlines intensify. Mark and Matt begin with the technical landscape as the S&P 500 remains locked in range despite major catalysts including NVDA earnings and escalating conflict in the Middle East What will it actually take to break this structure? The conversation then shifts to oil and geopolitical risk. The hosts explain why the Strait of Hormuz matters, what true supply disruption would mean, and why crude oil is the real-time gauge of inflation pressure and macro risk. They then analyze...
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This episode of Trading Justice centers on the tariff ruling that jolted the market narrative and quickly became the week’s dominant macro conversation. Mark and Matt break down what actually changed, why the reaction has been driven more by expectations than immediate economics, and how traders can interpret the uncertainty without getting lost in the headlines. The conversation then shifts into the tariff ruling and its market implications. The hosts break down what the Supreme Court decision actually changes, why headline reactions can be misleading, and how traders should anchor their...
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The Dow at 50,000 made headlines and even drifted into political theater, but beneath the surface this market is clearly split into two very different trades. The QE rotation continues to power industrials, energy, materials, utilities, and the equal-weight S&P, while the AI trade has stalled, particularly in software, as valuations reset and narratives swirl around CapEx, disruption, and whether the infrastructure cycle has peaked. In this episode, Mark and Matt break down the technical structure behind the divergence. They explain why the S&P continues to stall near 7,000 while RSP...
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In this week’s Trading Justice podcast, Mark and Matt Justice break down a busy market landscape shaped by AI volatility, software selloffs, and sector rotation under the surface. The conversation dives into why software has become the epicenter of recent market pressure, how technical levels like the 200 moving average are shaping opportunity, and why earnings remain the foundation of the bull market even as catalysts fade. The episode also explores the long-term implications of AI on labor, profit margins, and society, alongside a detailed look at gold and silver volatility. Matt then...
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This episode of the Trading Justice Podcast breaks down the current market environment as stocks trade near critical technical levels. The Justice brothers analyze equities, index structure, and broader market momentum, focusing on support and resistance zones, consolidation patterns, and what traders should be watching ahead of upcoming catalysts. The conversation blends technical analysis, options market context, and trader psychology while keeping the discussion practical and approachable. The episode also highlights ongoing education, live trading events, and community resources available...
info_outlineTrading Justice
This episode of the Trading Justice Podcast breaks down the current market environment as stocks trade near critical technical levels. The Justice brothers analyze equities, index structure, and broader market momentum, focusing on support and resistance zones, consolidation patterns, and what traders should be watching ahead of upcoming catalysts. The conversation blends technical analysis, options market context, and trader psychology while keeping the discussion practical and approachable. The episode also highlights ongoing education, live trading events, and community resources available...
info_outlineTrading Justice
This episode of the Trading Justice Podcast breaks down the current market environment as stocks trade near critical technical levels. The Justice brothers analyze equities, index structure, and broader market momentum, focusing on support and resistance zones, consolidation patterns, and what traders should be watching ahead of upcoming catalysts. The conversation blends technical analysis, options market context, and trader psychology while keeping the discussion practical and approachable. The episode also highlights ongoing education, live trading events, and community resources available...
info_outlineIn this episode, Coach Greg 'Old Money' Holmes joins us for a conversation about investing, and trading in the markets. Greg started out as a financial advisor in Canada over a decade ago but now focuses on trading his own accounts and teaching others how to do the same. Listen in as Coach Tim and Greg discuss his journey, how he's evolved into the trader he is today, and gain some insight from this veteran trader.
Before that, the coaches analyze the current market conditions during our weekly skyline. It's going to be a busy week in the markets, as nearly 1/3rd of the S&P 500 will report earnings, including some powerhouse names like Apple, Google, Tesla, Microsoft, and Amazon. Along with earnings, the FOMC will meet this week, and stocks are trading at all-time highs on the 3 biggest indices. Listen in and get prepared for the week in front of you as the coaches analyze all of the price action and news.
Lastly, Coach Mark asks Greg, Tim, and Matt to answer a few questions from the Coaches mailbag on how to get started with a small account, the use of sector rotation in trading, and whether trading a few dividend companies exclusively would be a smart approach.