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IBKR Podcasts

IBKR Podcasts

380 episodes — Page 2 of 8

S1 Ep 346Is Big Tech Reclaiming the Throne?

Big Tech is showing renewed strength as market leadership broadens beyond a narrow group of names. In this IBKR Podcast episode, Kevin Davitt of Nasdaq joins Andrew Wilkinson to break down what’s driving the rally, the role of semiconductors, consumer resilience and whether Big Tech is reclaiming its place at the center of market influence.

Jan 28, 20269 min

S1 Ep 345Is Silver Ready to Outrun Gold?

Jeff Praissman is joined by Will Rhind of GraniteShares to break down the evolving relationship between gold and silver, and why silver may be positioned to outperform in the current macro environment. From industrial demand and supply deficits to real rates, dollar weakness, and geopolitical risk, they explore whether silver’s long-awaited catch-up trade is finally underway.

Jan 26, 202627 min

S1 Ep 341Is Open Interest the Missing Signal in Options Trading?

Is open interest the overlooked signal that reveals where real risk and conviction are building in the options market? Market Chameleon’s Dmitry Pargamanik and Will McBride break down how traders can interpret open interest alongside volume and implied volatility to better understand positioning, sentiment, and price discovery.

Jan 23, 202621 min

S1 Ep 344Can Markets Shrug Off Tariffs and Tensions?

As global trade tensions resurface, markets are once again reacting to headlines around tariffs, geopolitics, and policy signals from abroad. Jeff Praissman sits down with Scott Bauer of Prosper Trading Academy to break down what’s moving markets, what investors should watch next and whether earnings and economic data can steady the ship.

Jan 21, 20266 min

S1 Ep 343Why Chinese Markets Are Back on Investors’ Radar

Chinese markets are showing renewed momentum in early 2026, driven by advances in AI, a reopening IPO pipeline, and supportive policy shifts. In this IBKR Podcast episode, Andrew Wilkinson is joined by Xiaolin Chen of KraneShares to break down what’s fueling the rally and what global investors should be watching next.

Jan 21, 202615 min

S1 Ep 341Flat Markets, Big Questions

Markets may look calm on the surface, but beneath the flat tape are growing questions around rates, bonds, earnings and sector risk. In this fast paced Midweek Minute, Jeff Praissman and Scott Bauer break down what’s really driving sentiment and what investors should be watching next.

Jan 14, 20266 min

S1 Ep 340Drill, Baby… Maybe?

As 2026 begins, markets are digesting weak job growth, rising wage pressures, and growing uncertainty around energy policy. In this episode, Andrew Wilkinson is joined by Steve Sosnick and Jose Torres to unpack why oil companies are hesitating and why investors keep buying the dip despite the noise.

Jan 12, 202616 min

S1 Ep 339Silicon, Small Caps, and Sentiment

Tech leadership, small-cap momentum, and shifting investor sentiment took center stage as markets kicked off the new year. Nasdaq’s Kevin Davitt joins Andrew Wilkinson to break down broadening market leadership, CES-driven tech trends, and what it all signals for investors moving forward.

Jan 7, 20269 min

S1 Ep 338Navigating Market Risk Heading Into 2026 with Tyler Wood

Markets are sitting near record highs, but are investors overlooking key warning signs? Tyler Wood of the Chartered Market Technicians Association joins Andrew Wilkinson to break down Fed policy, sector rotation, AI enthusiasm, commodities, and the technical signals that could shape market risk and opportunity heading into 2026.

Jan 6, 202613 min

S1 Ep 334Are Options Quietly Running the Market?

Options trading has exploded in scale, speed, and influence, but what does that actually mean for today’s markets? Mat Cashman of the Options Clearing Corporation joins IBKR’s Jeff Praissman to break down record-setting options volume, short-dated contracts, evolving risk models, and what traders should be watching as the market heads into 2026.

Jan 5, 202621 min

Ep 337Can AI Avoid a Dot-Com Déjà Vu?

Is today’s AI boom echoing the excesses of the dot-com era, or is this cycle fundamentally different? Nasdaq’s Mark Marex joins Interactive Brokers to break down profitability, valuations, supply-demand dynamics, and what investors should watch to determine whether AI’s rise is sustainable.

Dec 29, 202539 min

S1 Ep 330Will the Fed Roll the Dice Today?

Join Andrew Wilkinson, Jeff Praissman, and Prosper Trading Academy’s Scott Bauer live from Las Vegas as they break down trader sentiment ahead of the FOMC decision. From bond-market signals to volatility risks and holiday positioning, the trio explores what’s truly driving markets into year-end.

Dec 26, 20258 min

S1 Ep 336Is the Market Ending the Year on Auto-Pilot?

As the year winds down, markets appear unusually resilient despite tariffs, shifting rate expectations, and ongoing global uncertainty. Jeff Praissman and Prosper Trading Academy’s Scott Bauer break down what moved markets, what didn’t, and whether thin holiday trading could still deliver surprises.

Dec 24, 20256 min

S1 Ep 335Are Grain Markets Running on Empty?

As 2025 winds down, host Andrew Wilkinson is joined by Dan Basse, President of AgResource, to break down a turbulent year in grain markets and what it meant for U.S. farmers. From China’s soybean demand to global oversupply and tight farm margins, they explore whether relief is coming or if 2026 brings more of the same.

Dec 23, 20256 min

S1 Ep 333Did Earnings Just Pull the Plug on Tech?

Tech stocks stumbled after disappointing earnings from major names, raising questions about whether optimism has finally run too far. Scott Bauer of Prosper Trading Academy joins Jeff Praissman to break down market rotation, confusing economic data, crypto’s recent pullback, and what investors should watch next.

Dec 17, 20257 min

S1 Ep 332Is Geopolitics Losing Its Market Impact?

Geopolitical tensions remain elevated across the globe, yet markets appear surprisingly calm. Erik Norland of CME Group joins IBKR Podcasts to explore whether investors are becoming desensitized to conflict, how inflation and central bank policy are reshaping risk, and why gold and commodities may be telling a different story.

Dec 16, 202510 min

S1 Ep 329Will the Bank of Japan Finally Hike Rates?

Join host Elizaveta Gridneva as she sits down with Nicholas Ng of Daiwa Asset Management to unpack Japan’s potential shift toward higher interest rates. Together, they explore what a BOJ hike could mean for yields, market sentiment, and the strategies investors across Japan and the Asia-Pacific region are gravitating toward.

Dec 12, 202510 min

S1 Ep 331Can 1940s Infrastructure Handle 2040s Technology?

Join host Andrew Wilkinson and guest Alex Gunz as they explore whether aging power grids and legacy infrastructure can sustain the explosive growth of AI, robotics, and future technologies. From data deluges to energy bottlenecks, they break down the challenges and opportunities shaping the next decade of innovation.

Dec 11, 202524 min

S1 Ep 328Combating Crypto Skepticism

Join us for a deep dive into the benefits and risks of constructing a portfolio with crypto assets. WisdomTree in Europe's Director of Digital Assets Research Dovile Silenskyte discusses the case for digital asset diversification, convincing crypto skeptics, as well as differentiates between different blockchains, unravels the recent crypto flash crash, and more!

Dec 8, 202518 min

S1 Ep 327Can December Deliver Market Cheer?

Andrew Wilkinson of Interactive Brokers sits down with Kevin Davitt from Nasdaq to unpack whether December can deliver the market cheer investors hope for. From volatility swings to carry trade risks and crypto surprises, this episode dives deep into what could shape the year-end rally.

Dec 3, 202513 min

S1 Ep 326The GENIUS of Stablecoins

An in-depth conversation with Abra CEO and Founder Bill Barhydt about the recent groundswell of interest in U.S. dollar-backed stablecoins. We also explore how U.S. legislation might impact market and monetary policy , innovation, the future of banking, wealth management, and more!

Dec 1, 202537 min

S1 Ep 317Straddle Strategies: Smart Play or Risky Business?

Join Jeff Praissman as he sits down with Dmitry Pargamanik and Will McBride from Market Chameleon to explore straddle strategies in options trading. Are they a smart play or a risky business? Learn how volatility, time decay, and event-driven catalysts shape these trades.

Dec 1, 202524 min

S1 Ep 325Will the Fed Serve Up a Cut?

The holiday week brings more than turkey; it brings big questions for the markets. Andrew Wilkinson and Steve Sosnick break down the latest Fed chatter, shifting rate-cut odds, and what dissent inside the FOMC could mean for December trading. Plus, we dig into the AI spending spree and whether tech giants are borrowing their way into the future. Will the Fed serve up a cut, or leave investors hungry for more? Tune in for insights, strategy, and a look ahead.

Nov 25, 202513 min

S1 Ep 324From Wall Street to Wallets: The Tale of Two Consumers

In this episode of the IBKR Podcast, host Jeff Praissman sits down with NASDAQ’s Michael Normyle to unpack the widening wealth gap and its impact on consumer behavior. From stock market-driven confidence to the financial strain on lower-income households, we explore how inflation, wage growth, and spending trends are shaping today’s K-shaped economy.

Nov 25, 202516 min

S1 Ep 323What’s the Real Cost of Financial Illiteracy?

In this episode, Gerry Perez, CEO of IBKR UK, joins us to dive deep into the hidden price of financial illiteracy and why it matters for everyone, from students to seasoned investors. Join us as we explore practical strategies, expert insights, and innovative tools that make financial education accessible and empowering.

Nov 21, 202514 min

S1 Ep 322How Do Wealth Managers Use Forecast Contracts?

Join Jose Torres as he sits down with Michael Larson (The Money Show), Harry Figgie and Denton Jones (Greenwich Wealth Management), Jeff Zipper (Fifth Third Private Bank), and Vincent Randazzo (View Wright Advisors) to explore how wealth managers use forecast contracts in today’s markets. Hear expert insights on trading strategies, prediction markets, and portfolio positioning from some of the industry’s most trusted voices.

Nov 20, 202529 min

S1 Ep 321Holiday Volatility: Gobble or Wobble?

Markets are bracing for a holiday week packed with economic data, retail earnings, and Fed uncertainty. Will traders feast on opportunity or wobble under volatility? Tune in for insights from IBKR's Jeff Praissman who hosts Scott Bauer of Prosper Trading Academy.

Nov 19, 20256 min

S1 Ep 319Can Japan Flip the Script from Deflation to Domination?

Join Elizaveta Gridneva and Nicholas Ng on the IBKR Podcast as they explore Japan’s bold economic shift from decades of deflation toward growth and innovation. Discover whether structural reforms, BOJ rate moves, and global megatrends can flip the script for investors.

Nov 18, 202520 min

S1 Ep 320What’s the Catch with Leveraged ETFs?

Leveraged ETFs sound exciting; triple the gains, right? Not so fast. In this episode, we unpack the hidden risks, daily compounding effects, and why timing matters more than ever. Whether you’re curious about hedging, short-term plays, or just want to know if these tools belong in your portfolio, this conversation will give you the clarity you need.

Nov 17, 202511 min

S1 Ep 318Will the Government Reopening Spark a Market Rally?

Join Jeff Praissman, host of the Interactive Brokers Podcast, and Scott Bauer from Prosper Trading Academy as they break down the market’s reaction to the government reopening. Will delayed economic data trigger a rally or reveal deeper risks for traders?

Nov 12, 20257 min

S1 Ep 314Can Options Data Really Predict Stock Moves?

On this IBKR Podcast episode, we explore how options market data reveals hidden signals that can help investors forecast stock movements with greater accuracy. Brian Tancock of Visual Sectors breaks down four predictive pillars, like asymmetric information and crowd wisdom, and explains how retail traders can use them to build smarter, market-neutral portfolios.

Nov 11, 202513 min

S1 Ep 315Is the UAE Becoming the New Wall Street?

As global capital flows shift eastward, the UAE is positioning itself as a serious contender to Wall Street’s legacy. In this episode, James Bradie of IBKR UK joins Andrew Wilkinson to explore how fintech, regulation, and investor migration are transforming the Gulf into a global financial powerhouse.

Nov 4, 20258 min

S1 Ep 309Are Credit Put Spreads the Smartest Bullish Play?

Market Chameleon’s Dmitry Pargamanik and Will McBride join Jeff Praissman in the IBKR Podcast Studio to break down one of the most talked-about options strategies: the credit put spread. They discuss how traders use it to define risk, manage volatility, and capture steady income — plus how data, probabilities, and timing play into successful execution.

Oct 30, 202523 min

S1 Ep 306From Dot-Com to Dot-AI

Host Andrew Wilkinson joins Steve Sosnick, Scott Bauer, and Jeff Praissman to revisit the trading floors of the late ’90s, unpack how speculation and innovation collide, and explore what investors can learn from history’s rhyming cycles.

Oct 27, 202528 min

S1 Ep 313Forecast Contract Picks With Wall Street South

Dive into the world of prediction markets with Wall Street South as we break down forecast contracts, from S&P 500 bets to Bitcoin surprises and political futures. Learn how savvy investors are navigating volatility, AI-driven trends, and election odds to uncover hidden opportunities.

Oct 27, 202525 min

S1 Ep 312IPOcalypse Now: The Boom Returns

The IPO market is back with a bang! 2025 has seen a surge in listings, capital raised, and day-one performance that rivals the best years in recent history. In this IBKR Podcast episode, NASDAQ’s Michael Normyle breaks down the forces behind the boom, the sectors leading the charge, and what might signal the next turning point.

Oct 27, 202510 min

S1 Ep 311Is the Fed Finally Embracing Crypto?

Fed Governor Waller calls it a “new era” for payments, but what does that really mean for crypto, markets, and the so-called “Wild West” of digital assets? Scott Bauer from Prosper Trading joins host Jeff Praissman to break down the Fed’s surprising tone shift, earnings season trends, and whether the Magnificent Seven can keep driving the market.

Oct 22, 20257 min

S1 Ep 310Are Tariffs the New Inflation?

Stephen Yiu of the Blue Whale Growth Fund joins Andrew Wilkinson to discuss how new tariffs could quietly reignite inflation, even as markets bet on cooling prices. From delayed price effects to sticky consumer costs, Yiu explains why trade tensions might be the next inflation story investors aren’t watching closely enough.

Oct 20, 202523 min

S1 Ep 308Are We Ready for a Billion Robots?

Broadcasting from London, Gerry Perez, CEO of Interactive Brokers U.K., sits down with Jonathan Krane, CEO of KraneShares, to discuss the global rise of humanoid technology. Together, they explore how AI, innovation, and international markets are converging to shape a future that could soon include a billion robots.

Oct 16, 202510 min

S1 Ep 307Is the Bubble Learning How to Code?

Andrew Wilkinson sits down with Kevin Davitt, Head of Index Options Content at Nasdaq, to unpack what recent market volatility really means, how the “cost of protection” helps investors read the mood of the market, and whether today’s optimism is backed by fundamentals or just silicon dream.

Oct 15, 202511 min

S1 Ep 304Can You Really Trade on the Future?

From billion-dollar bets to binary options, prediction markets are stepping into the spotlight. Scott Bauer of Prosper Trading Academy joins Jeff Praissman to explore whether traders can actually profit from forecasting — and what these new products mean for traditional markets.

Oct 8, 20259 min

S1 Ep 303Make Subsidies Great Again?

U.S. farmers are facing a third straight year of losses — and with China pulling back on grain imports, President Trump’s proposed $10 billion in farm aid could be the next big political play. But can checks in the mailbox really replace lost markets — or is this just a short-term fix for a long-term trade war?

Oct 6, 202510 min

S1 Ep 302Is the Fountain of Youth Finally Open for Business?

From CRISPR breakthroughs to AI-powered drug discovery, longevity science is moving from myth to marketplace. Host Andrew Wilkinson sits down with Alex Gunz, Portfolio Manager at Heptagon Capital, to explore how innovations in genomics, stem cells, and personalized medicine could redefine healthcare — and reshape the investment landscape. Discover why the race to extend lifespan may also unlock new long-term returns.

Oct 2, 202519 min

S1 Ep 301With Great Volatility Comes Great Opportunity

Markets may be climbing a wall of worry, but investors continue to swing past bad news — chasing dips, ignoring danger, and riding momentum through uncertainty. In this week’s Midweek Market Update, the “Spider-Man Market” takes center stage as Andrew Wilkinson, Steve Sosnick, and Steve Sears unpack why every headline seems bullish and how retail traders are reshaping the landscape.

Oct 1, 202523 min

S1 Ep 300Who Wins the AI Arms Race: Startups or Titans?

AI is reshaping global markets, but where should investors place their bets — with agile startups or established tech giants? In this episode, Andrew Wilkinson speaks with Max Chen of Etna Capital and Derek Yan of KraneShares about the risks, returns, and portfolio strategies for navigating the AI revolution.

Sep 30, 202515 min

S1 Ep 299Can China’s New Playbook Power Global Growth?

China is rewriting its growth story – shifting from real estate reliance to innovation, AI, and green tech. In this episode, Xiaolin Chen of KraneShares joins host Andrew Wilkinson to break down China’s latest policy shifts, trade dynamics, and the upcoming Five-Year Plan shaping the global economy.

Sep 29, 202518 min

S1 Ep 298Is AI About to Blow a Fuse?

AI’s explosive growth comes with a hidden cost: staggering capital expenditures, soaring energy demands, and concentrated data center risks. Economist Michael Normyle joins Jeff Praissman to break down whether artificial intelligence is powering progress — or overloading the system.

Sep 25, 202517 min

S1 Ep 297Is Volatility Playing Hide-and-Seek?

Markets continue to grind higher, but beneath the surface, volatility remains surprisingly subdued. Scott Bauer joins Jeff Praissman to discuss bond yields, small-cap struggles, oil swings, sticky inflation, and whether the VIX is about to reemerge from hiding.

Sep 24, 20257 min

S1 Ep 296A 1970s Warning for 2025

The Federal Reserve’s latest rate cuts echo the policy missteps of the 1970s, when easy money fueled runaway inflation and market turmoil. CME Group economist Erik Norland joins Andrew Wilkinson to discuss the risks of history repeating itself as investors chase gold, crypto, and tech.

Sep 19, 202513 min

S1 Ep 295The Dot Plot Thickens

Andrew Wilkinson sits down with Nasdaq’s Kevin Davitt to unpack the Fed’s latest moves, labor market shifts, and what the updated dot plot really signals for investors. From rate cut debates to options market trends, this episode dives into how the story behind the numbers is shaping markets.

Sep 17, 202512 min