
IBKR Podcasts
380 episodes — Page 1 of 8
Why All the Hype Behind Hyperliquid?
Why Gen Z Wants the Office Back
Why Are China and India Reshaping the Global Economy?
Who’s Really in Control: Markets, Inflation or the Fed?
The New Perspective: Kelly Gusmao on Designing Wealth for Women
Mastering Leveraged ETFs
The Missing Perspective: Cecilia Bosman on Women, Wealth & Investing
Reading Between the Trades: Understanding Options Flow
What’s Happening to the Small-Cap Universe?
To AI-nfinity and Beyond
The South Sea Bubble: When Dreams of Gold Ended in Ruin
Why Didn’t the Home Builders Rally on Moon Base News?
Fertilizer Panic: The War With Iran Hits Global Agriculture
Tech Rally at the Edge: Is the Market Running on Borrowed Time?
From Cars to Code: Why 2026 Is the Year of the Robotaxi
Cryptocurrencies – Tech, Tokens, and Unique Traits
Thailand: Sick Man of Asia or Sleeping Giant?
How Do Traders Spot Opportunity in Option Chains?
Can Big Tech Keep Carrying the Market?
Commodities in Focus: How Oil and Geopolitics Shape Markets
Is Tokenization the Next Big Macro Shift?
From Ceasefires to Software: Breaking Down This Week's Market Moves
Is Gold Competing With Cash?
Socially Acceptable Volatility Strikes Again
Rally or Mirage: What’s Really Driving Stocks?
Can Singapore Keep Its Market Momentum Going?
Crypto Trends Signal a Seismic Shift in TradFi
Right Direction, Wrong Trade: The Earnings Trap
Navigating Equities, Gold, and Global Risk with Absolute Strategy Research
Markets on Edge: Rates, Oil, and Geopolitics Collide

S1 Ep 367Why Are Large Caps Winning While Small Caps Catch Up?
Why are large-cap stocks continuing to outperform while small caps begin to recover? In this episode of the IBKR Podcast, we break down the latest earnings data, macroeconomic drivers and the role of interest rates and AI-driven growth shaping today’s two-speed market.

S2 Ep 366Calling It Early: Are Autocallable ETFs Worth the Hype?
In this episode of the IBKR Podcast, Jeff Praissman sits down with GraniteShares CEO Will Rhind to unpack the growing buzz around autocallable ETFs. They discuss how these products work, where the income comes from and whether the promise of high yield with downside protection holds up in today’s market.

S1 Ep 366How Much Power Do Headlines Really Have Over Markets?
Markets are swinging sharply as headlines and social media posts appear to drive sudden surges and reversals. We break down whether this is a headline-driven market, what weakening technicals signal, and why the 200-day moving average matters now.

S1 Ep 364Crude Reality: Markets Caught Between War and the Fed
Oil prices are swinging as geopolitical tensions rise, leaving markets caught between conflict-driven shocks and an increasingly cautious Federal Reserve. In this IBKR Midweek episode, we break down what’s driving crude’s volatility, shifting rate expectations and what investors should watch next.

S1 Ep 363Are Humanoid Robots China’s Next Economic Engine?
China’s economy is pivoting toward automation and AI as policymakers push for greater innovation and self-reliance. Brendan Ahern of KraneShares joins IBKR's Elizaveta Gridneva to discuss the rise of humanoid robotics and why embodied AI could become the country’s next major growth engine.

S1 Ep 361Is Korea’s Market Boom Hitting a Geopolitical Wall?
Host Elizaveta Gridneva sits down with Heejung Kim, Managing Director at Direxion, to unpack a dramatic week in the Korean market as geopolitical tensions and oil shocks trigger massive swings in the Kospi. They also explore Korea’s unique retail investor culture, the outsized role of semiconductor giants, and whether China’s slower growth outlook matters in a world focused on bigger global risks.

S1 Ep 360Crude Awakening: Oil and the Iran Conflict
Oil prices have surged amid escalating conflict with Iran, raising concerns about supply disruptions through the critical Strait of Hormuz and the broader impact on global markets. We break down what the latest geopolitical developments could mean for oil prices, inflation and the balance between fear and FOMO driving investor behavior.

S1 Ep 359Europhoria: Is Europe’s Market Moment Here?
European markets have been quietly outperforming, powered by strength in banks, industrials, defense, and utilities. In this episode, experts discuss whether Europe’s resurgence is just a short-term rally or the beginning of a longer shift in global capital flows.

Ep 359How War, Volatility, and a Shifting Global Economy Are Stress Testing Markets
Markets are rattled as geopolitical risk collides with stubborn inflation and rising interest rates. In this episode of the Cents of Security Podcast, host Mary MacNamara is joined by Jose Torres, Senior Economist at Interactive Brokers, to break down what’s driving the latest volatility—from surging oil prices and elevated yields to weakening AI momentum and cracks in private credit. They unpack why traditional safe havens aren’t behaving as expected, how investors are positioning beneath the surface, and what China’s slowing growth means for global demand.

S1 Ep 354The Fine Print of Zero DTE Trading
As zero DTE options expand from indices to individual equities, understanding the mechanics behind expiration becomes crucial for traders. Options expert Matt Cashman breaks down the key structural differences between American and European style options and why the contra exercise window can make or break your zero DTE strategy.

S1 Ep 358Are Platinum and Palladium Ready to Shine?
Platinum and palladium are often overshadowed by gold and silver, but tightening supply, shifting auto demand, and renewed industrial momentum may be changing the story. We explore whether these overlooked precious metals are positioned for a breakout in a world balancing EV adoption and macro uncertainty.

S1 Ep 357Markets on Edge: Energy Surges as Conflict Escalates
Markets reacted swiftly to rising geopolitical tensions as energy stocks surged and volatility returned to Wall Street. Longtime collaborator and friend of the show, Scott Bauer, joins our IBKR Podcast to discuss the global market reaction, the outlook for the VIX and the key economic data investors are watching next.

S1 Ep 356The Tulip Bubble: When Flowers Cost More Than Houses
In the 1630s, tulip bulbs in the Netherlands became more valuable than homes, wages, and entire farms, sparking one of history’s most infamous speculative frenzies. In this special IBKR Podcast, we explore how Tulip Mania unfolded, why rational investors got swept up in the madness, and what modern markets can still learn from a flower-fueled financial bubble.

Ep 355Dual Mandate Dilemma: Inflation vs. Jobs Amid AI Investment, Slowing Hiring, and Rate-Cut Uncertainty
Jeffrey Praissman sits down with Michael Normyle, NASDAQ’s economist, to unpack the Fed’s latest message—and why balancing inflation and employment has gotten harder. They discuss AI data-center investment and why it boosts growth more than jobs, how reduced immigration changes the “break-even” pace of hiring, what’s driving today’s uncertainty, and why small businesses feel higher rates more than large caps.

S1 Ep 352Is AI Casting a Cloud Over Investors?
Artificial intelligence is driving markets, but is it also creating uncertainty for investors? Andrew Wilkinson sits down with Kevin Davitt, Head of Index Options Content at Nasdaq, to discuss whether recent market rotation reflects healthy broadening or a cloudier outlook ahead.

S1 Ep 351The Global Shift Away from Paper Money
Why are investors around the world moving away from paper money and toward hard assets? In this episode, IBKR's Elizaveta Gridneva speaks with CME Group economist Erik Norland about the growing role of gold and silver amid rising global deficits, central bank rate cuts, and geopolitical uncertainty.

S1 Ep 350Sector Rotation Takes the Wheel
Markets are adjusting as rising yields and persistent inflation reshape investor expectations, driving capital out of big tech and into more defensive and cyclical sectors. Scott Bauer joins Jeff Praissman to break down what’s behind the rotation, how institutional investors are positioning and what key data points could steer markets next.

S1 Ep 349Warsh or Peace? Markets Decode the Fed Nomination
In this episode of the IBKR Podcast, Steve Sosnick, Chief Strategist at Interactive Brokers, and Jose Torres, Senior Economist, break down the market reaction to Kevin Warsh’s Fed nomination. They examine whether Warsh is a policy hawk, a political pragmatist, or something in between, and what his potential influence means for interest rates and investor expectations heading into the second half of the year.

S1 Ep 348What Does Japan’s Snap Election Mean for Markets?
From political strategy to market impact, this IBKR episode explores how Japan’s snap election could reshape bonds, FX, and equities. Nicholas Ng unpacks the policy signals driving the “Japan trade” and what investors should be watching next.

S1 Ep 347Is the Global Economy Set for a 2026 Rebound?
As global markets move into 2026, investors are watching rate cuts, fiscal policy and artificial intelligence reshape the growth outlook. Nasdaq's Michael Normyle breaks down the economic tailwinds and market dynamics that could define the next global growth cycle.