
IBKR Podcasts
365 episodes — Page 3 of 8

S1 Ep 279MBA vs. PHD - Who's Got it Right?
Equity analysts and economists are at odds — MBAs are calling for earnings acceleration, while PhDs warn of an economic slowdown. In this episode, Nasdaq’s Michael Normyle joins us to unpack the data, the drama, and what it all means for investors navigating tariffs, rate cuts, and market uncertainty.

S1 Ep 278Can You Profit in Zero Gravity?
Fund manager Alex Gunz joins host Andrew Wilkinson to explore why space is no longer just science fiction- it’s a booming frontier for data, defense, and investment. From plummeting launch costs to rising geopolitical tensions, they break down what’s driving the space economy and how investors can get a piece of the orbit.

S1 Ep 277Is the Fed Playing Chicken with the Economy?
Is the Fed flying too close to the flame? In this episode, Scott Bauer returns to break down market reactions to strong GDP data, meme stock madness, and whether rate policy is heading for a collision course.

S1 Ep 276Can You Weather the Bet?
Can prediction markets double as insurance against climate catastrophe? In this episode, Andrew Wilkinson and Patrick Brown of Interactive Brokers unpack how forecast contracts are reshaping risk management- where saying “yes” or “no” to a hurricane could mean millions on the line.

S1 Ep 274Tariff Tightrope: Will Markets Slip?
Markets are riding a tariff tightrope as traders weigh rising rates, inflation concerns, and looming trade pressures. Host Jeff Praissman talks with Scott Bauer, reporting live from the CBOE floor, about why volatility feels too calm- and what could make it snap.

S1 Ep 273Is the Market Laughing at Tariffs?
The market keeps climbing despite headline shocks- tariffs, rate spats, and all. Kevin Davitt joins us to unpack why investors seem unfazed, and why Q2 earnings and tech giants like NVIDIA may be driving the real narrative.

S1 Ep 268Mind the Earnings Gap
Earnings season can spark sharp moves—but how much of it is predictable? Dmitry Pargamanik of Market Chameleon joins us to explore how traders can use historical options data to spot patterns, dodge outliers, and navigate the volatility around earnings announcements.

S1 Ep 272Tariff-ic Rally or Just a Bluff?
Markets are hitting fresh highs, but is this a true breakout or just a tariff-fueled head fake? Joining us from the floor of the CBOE, Scott Bauer breaks down what's driving the rally- and whether it’s built to last.

S1 Ep 271Fed Heads Play The Apprentice While Tariffs Lurk
While the market flirts with fresh highs, Fed officials seem more focused on auditioning for the next administration than cutting rates. Steve Sosnick joins Andrew Wilkinson to unpack the drama, from Powell's tightrope walk to the tariff threats hiding just offstage.

S1 Ep 270Is Your Stock About to Russell Up?
Is your stock on the verge of leveling up? Join Jeff Praissman and NASDAQ’s Nicole Torskiy as they break down the mechanics, impact, and market drama behind index additions- just in time for the upcoming Russell rebalance.

S1 Ep 264DTE-tective Work: Cracking Same-Day Options
Zero-day options are exploding in popularity—but what’s really going on behind the scenes? Former Nasdaq Options Head Sean Feeney joins us to uncover the mechanics, risks, and potential of this high-speed trading trend.

S1 Ep 269Markets, Missiles, and a Big Beautiful Bill
In this episode, Kevin Davitt of Nasdaq returns to unpack how markets are shrugging off rising geopolitical tensions and what a “big, beautiful bill” could mean for investor sentiment and Fed policy.

S1 Ep 267Is Volatility on a Summer Vacation?
Is the market’s mood just mellow—or is volatility really on vacation? Jeff Praissman and Scott Bauer break down the calm summer trading vibes, what’s fueling the low VIX, and whether traders should be buying protection while it’s cheap.

S1 Ep 266There… Goes… Swifty!
Markets are moving fast—but are investors chasing real value or just the mechanical rabbit? Steve Sosnick and Steve Sears join Andrew Wilkinson to break down the momentum madness, fading volatility, and what could trip up the race.

S1 Ep 265Talks Are Fine Unless There’s a Food Fight
Andrew Wilkinson talks with Steve Sosnick and Jose Torres about what’s driving markets higher—despite mixed economic signals. They cover bond yields, labor data, and why investors are staying optimistic as long as there's no bad news.

S1 Ep 263Bursting with Bubblelicious Energy
Chief Strategist Steve Sosnick joins Andrew Wilkinson to explore the momentum-fueled rallies, surprising resilience to bad news, and the yield curve signals that have some investors on edge. From quirky trading patterns to signs of speculative froth, it’s a timely look at what’s driving this bubblelicious energy in the markets.

Ep 261Building Benchmarks
S&P500, Dow Jones Industrial Average, and the Nasdaq 100 are all household names to investors. However, many investors may not know what goes into constructing an index. Nasdaq’s Director of Index Product Development, Rob Jankiewicz joins Jeff Praissman to discuss how indexes are constructed and the many parameters that are used.

Ep 262The T Word
If we were living in an old episode of the Brady Bunch Jan might be saying , “Tariffs, Tariffs, Tariffs”. The market just finished a better-than-expected earning cycle, but tariffs seem to be the only headline that matters these days. Scott Bauer joins us to break down the past few days of the market and where it may be headed.

S1 Ep 260Tariffs, Tension, and Tech Whiplash
Global markets are caught between tariff shocks, economic uncertainty, and a tech sector ready to rebound—or rupture. Kevin Davitt of Nasdaq joins to break down the volatility, the signals, and what might trigger the next big move.

S1 Ep 259Market Update From NDR's Ed Clissold
Join Chief U.S. Strategist Ed Clissold of Ned Davis Research as he breaks down the latest trends shaping the markets. From earnings pressure to sector shifts, get data-driven insight to guide your next move.

S1 Ep 257Is the Trade War Actually Over?
Tariffs may be cooling off, but the market’s still feeling the heat. Steve Sosnick breaks down what investors are really pricing in—and whether the peace is just a pause.

S1 Ep 256Is It Time to Reap What We’ve Tariffed?
Tariffs are sprouting more problems than profits for America’s farmers. Andrew Wilkinson speaks with Dan Basse of AgResource to dig into the trade war’s real cost—on crops, consumers, and the future of global agriculture.

S1 Ep 255Are Traders Just Numb Now?
Tariffs, volatility, and a storm of headlines—yet the markets barely flinch. Scott Bauer joins us to unpack whether Wall Street’s grown immune to chaos, or if the real shock is still to come.

S1 Ep 254Can Jerome Keep the Fire From Spreading?
Wall Street’s on a heater—but with inflation smoldering and rate cuts on the line, can Powell play firefighter-in-chief without getting burned? We unpack the Fed’s next move, market momentum, and the sparks flying from tariffs and politics.

S1 Ep 251The Tariff Trap: Who’s Winning, Who’s Losing?
Trade tensions are rising, markets are rattling, and no one is walking away unscathed. In this episode, we dive into the U.S.–China tariff battle to uncover who’s gaining ground—and who’s losing it fast.

S1 Ep 250Riding the Market Roller Coaster
Strap in as markets twist, turn, and dip with every headline—are we in for a thrill or a tumble? In this episode, Scott Bauer joins us live from the trading floor to break down the wild ride investors are facing right now.

S1 Ep 249Is Trump Playing the Markets?
When tweets move treasuries and tariffs rattle rates, who’s really pulling the strings on Wall Street? We dive into the politics-meets-markets drama with bond trader Michel Sommer to unpack the so-called “Trump Put” and what it means for the Fed, yields, and U.S. credibility.

S1 Ep 248Made In America
What does it really mean when a company is "Made in America"? In this episode of the IBKR Podcast, our guests from Nasdaq break down how global companies are classified for index inclusion—and why it’s more complicated than just where they’re headquartered.

S1 Ep 247When Trade Wars Hit the Farm… Who Gets Plowed Under?
Tariffs may be aimed at foreign powers, but the fallout hits America’s fields first. Dan Basse of AgResource joins to unpack how trade tensions are reshaping the future of U.S. farming — from rising anxiety to shrinking markets.

S1 Ep 245Tariff & Tumble: Currency Markets in a Spin
In this episode, we break down how tariffs, rate fears, and global politics are sending currency markets spinning. Tune in as we explore what traders are watching — and where the dollar might go next.

S1 Ep 243Echoes of Power: Trade Moves Driving Us Closer to the Bottom
On this episode of Midweek Minute, Jeff Praissman sits down with Scott Bauer to unpack how trade tensions and policy ripples are rattling Wall Street. With markets teetering, they ask the big question: are we closer to the bottom than anyone’s willing to admit?

S1 Ep 242The Art of the Tariff: Markets Call the Bluff
In this episode of the IBKR Podcast, we unpack the latest tariff turmoil and why Wall Street isn’t playing along. Chief Market Strategist Steve Sosnick and Senior Economist Jose Torres join host Andrew Wilkinson to explore the political calculus, economic fallout, and whether the Fed—or the White House—will flinch first.

S1 Ep 241Before the Rose Garden: How Markets Are Really Reacting
Markets are jittery, but is anyone actually panicking? Kevin Davitt breaks down what’s real, what’s priced in, and why the VIX-VXN flip might be the sneakiest signal yet—just hours before the Rose Garden fireworks.

S1 Ep 234What is Option Open Interest and How to Analyze
Market Chameleon’s Dmitry Pargamanik & Will McBride join IBKR’s Jeff Praissman for an in depth look at Open Interest and how it can be used by traders and investors when analyzing options.

S1 Ep 240When Climate Meets Wall Street
Climate change is accelerating — and the economic fallout is already here. Economist Michael Penn joins us to unpack the rising cost of disasters, the $4,500 carbon question, and what climate tipping points mean for growth, inflation, and global stability.

S1 Ep 239From Tower Bridge to Trading Floors: Celebrating 25 Years of IBKR UK
Interactive Brokers UK turns 25—and we’re celebrating with CEO Gerry Perez inside the Tower of London. From humble beginnings to a global powerhouse, hear the untold stories, customer moments, and what’s next for IBKR in a post-Brexit world.

S1 Ep 238DAX to the Future
Strap in as NASDAQ’s Michael Normyle and IBKR’s Jeff Praz take you “DAX to the Future,” breaking down Europe’s market rally in 2025. From rate cuts to defense booms, discover what’s powering the Eurozone’s warp-speed momentum.

S1 Ep 236Bull, Bear, or Billionaire? The Market’s Trump Card
In this episode, Steve Sears and Steve Sosnick analyze the market’s reaction to President Trump’s recent tariff announcements and the ensuing volatility. They discuss the implications for investors, the potential for a bear market, and strategies to navigate the current economic landscape.

S1 Ep 235From C-3PO to CEO: The Rise of Humanoids
From sci-fi fantasy to boardroom reality, humanoid robots are stepping into roles once reserved for humans. In this IBKR podcast, we explore how AI-driven humanoids are transforming industries, reshaping the workforce, and what this means for investors and the future of automation.

S1 Ep 234Bond, Market Bond: A License to Yield
Markets are shaken, not stirred, as bond yields surge and recession fears loom. Join us as we decode the high-stakes world of rates, tariffs, and global market espionage in 2025.

S1 Ep 233“ISA-nt” It Time to Invest?
Discover how ISAs can help you grow your wealth tax-free with Interactive Brokers! In this episode, we break down everything from investment options to fees—so you can make the most of your money while keeping more of it in your pocket.

S1 Ep 232Analyze This [ATM Straddle]
Unlock the power of at-the-money (ATM) straddles and learn how they reveal market expectations for volatility and stock movement. In this episode, we break down straddle pricing, historical performance, and trading strategies to help you make more informed options decisions.

S1 Ep 231Great Wall Street: China’s Market Moves and U.S. Ties
Trade tensions, tech booms, and stimulus surges—how is China’s market evolving? Andrew Wilkinson and Xiaolin Chen dive into U.S.-China investments, policy shifts, and the future of AI-driven growth.

S1 Ep 230Cloudy With a Chance of Market Meltdowns
Storm clouds are gathering over the markets—will this be just a passing shower or a full-blown financial hurricane? From tariffs to tech tumbles, we break down the biggest risks investors need to watch right now.

S1 Ep 229Goldilocks Economy and the Bear, or Bull?
Michael Normyle – Nasdaq’s US Economist joins IBKR’s Jeff Praissman for their monthly podcast to discuss the Goldilocks economy and the effect that possible tariffs and immigration policies may have in 2025.

S1 Ep 223Cash Me if You Can: Chasing Forex Fortunes
Think you can outsmart the currency markets? In this episode, we dive into the high-stakes world of forex trading—who’s making moves, what’s driving the market, and how fortunes are won (or lost) in the blink of an eye.

S1 Ep 2222025 Outlook from NDR's Ed Clissold
Join Ed Clissold, Chief U.S. Strategist at Ned Davis Research, as he dives into the key market drivers shaping the U.S. economy in 2025. Ed explores how shifting economic trends are influencing investor strategies and the broader market landscape.

S1 Ep 221Tariff-ied Markets and Workweek Woes
Markets are on edge as tariffs, inflation, and job data create a whirlwind of uncertainty. Join Andrew Wilkinson, Steve Sosnick, and Jose Torres as they dissect the latest economic shifts, political curveballs, and what it all means for your portfolio

S1 Ep 220Whale Watching: AI and Global Growth
Stephen Yiu joins Andrew Wilkinson to reveal his strategy for spotting companies that defy market chaos. From AI to sports betting, see how global trends drive his winning investments.

S1 Ep 219Trading Places: U.S. vs. China Markets
Explore how U.S. and Chinese markets are shaping global investment strategies in 2025. Eddie Lam offers expert insights on key market movements, stimulus policies, and investor sentiment in this must-hear episode.