The Market’s Been Trained to Ignore Risk — Until It Can’t
For 15 years, the market’s been rewarded for ignoring risk. But with warning signs flashing, could that habit be setting traders up for a painful surprise?
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All Posts - Casey Stubbs - Chris Pulver - David Trainer - Graham Lindman - Geof Smith - Nate Tucci - Jeffry Turnmire - ProsperityPub
For 15 years, the market’s been rewarded for ignoring risk. But with warning signs flashing, could that habit be setting traders up for a painful surprise?
Read MoreNate Tucci breaks down what Bitcoin’s latest pop could mean for risk assets — and how he’s trading it.
Read MoreJD explains why he faded Circle and Oklo while everyone else was buying — and how Bitcoin’s selloff signaled that both trades were ripe for reversal.
Read MoreJD breaks down a speculative option setup on a Bitcoin-linked stock that could pop if the rubber band snaps back. High risk, high reward — but mathematically grounded.
Read MoreNate Tucci breaks down a stealth move from smart money, reveals clues from a surprising stock setup, and updates his read on the S&P and the risk environment.
Read MoreThe market’s shifting between risk-on and risk-off assets, with defensive plays leading while speculative stocks struggle. The Nasdaq is at a key decision point — what’s next?
Read MoreMarkets dipped hard this week, surprising traders. Nate breaks down the pullback, key S&P levels, and why risk-on assets might signal hope. Stay zoomed out for context!
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