Episodes

  • Peace Talks and the Tech Reset
    Mar 25 2026
    Fresh news and strategies for traders. SPY Trader episode #1557. In this episode, host Barnaby Bullseye analyzes the market rally following a proposed 15point peace plan for the Middle East. The discussion covers the Federal Reserve's 'higher for longer' interest rate stance, the energy sector's recent dominance, valuation resets in technology despite Nvidia's massive GPU demand forecast, and strategic investment plays in gold, bonds, and real estate.
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    5 mins
  • Market Relief and the New Fed Era
    Mar 24 2026
    Fresh news and strategies for traders. SPY Trader episode #1556. Sunny Shares breaks down the recent S&P 500 relief rally, the impact of stagflation and Fed leadership changes, and a tactical barbell strategy focusing on core ETFs, energy, and gold.
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    4 mins
  • Market Normalization: Profiting from the 2026 Shift
    Mar 23 2026
    Fresh news and strategies for traders. SPY Trader episode #1555. Host Sunny SideUp analyzes the 2026 'Normalization Phase,' detailing a shift from AI hardware to software monetization and the resurgence of nuclear energy. The episode outlines a Barbell Strategy for balancing growth in tech and healthcare with the stability of dividend ETFs and gold as interest rates remain steady.
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    5 mins
  • Q1 Finale: Navigating Inflation Data and AI Exhaustion
    Mar 22 2026
    Fresh news and strategies for traders. SPY Trader episode #1554. In this episode, host Barnaby Bull previews the final full trading week of the first quarter of 2026. He analyzes the potential market impact of the upcoming Core PCE price index report, discusses signs of AI exhaustion in the tech sector, and recommends a barbell strategy using defensive healthcare and gold positions to balance growth exposure.
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    5 mins
  • The Stagflation Trap: Navigating a Fourth Week of Market Red
    Mar 21 2026
    Fresh news and strategies for traders. SPY Trader episode #1553. Barnaby Bumper breaks down the fourth consecutive week of market declines as the S&P 500 and Nasdaq struggle under the weight of rising oil prices and a hawkish Federal Reserve. This episode explores the 'stagflation trap' driven by geopolitical conflict in the Middle East, analyzes the impact of the SMCI scandal on tech, and offers strategic advice on energy hedges and shortterm fixed income for capital preservation in a volatile environment.
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    6 mins
  • Witching Hour: The $5.7 Trillion Market Pivot
    Mar 20 2026
    Fresh news and strategies for traders. SPY Trader episode #1552. An analysis of the S&P 500's drop below the 200day moving average, the massive Triple Witching options expiry, and strategic rotations into gold and healthcare amidst stagflation fears.
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    5 mins
  • Stagflation Survival: Navigating the 2026 Market Storm
    Mar 19 2026
    Fresh news and strategies for traders. SPY Trader episode #1551. Host Bucks Bunny analyzes the market volatility on March 19, 2026, sparked by a hawkish Federal Reserve pause and a spike in oil prices to $115 per barrel following geopolitical infrastructure attacks. The episode covers key strategies for hedging portfolios with Energy and Gold while managing exposure to ratesensitive tech stocks like Micron and the QQQ.
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    5 mins
  • NVIDIA’s TrillionDollar Milestone and the Fed Watch
    Mar 18 2026
    Fresh news and strategies for traders. SPY Trader episode #1550. Host Sunny Stacks analyzes the cautiously bullish market as NVIDIA reports a trilliondollar order book and energy prices climb. The briefing covers the upcoming Federal Reserve decision, Apple's tariff challenges, and tactical trading strategies using the barbell approach to balance tech growth with inflation hedges.
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    4 mins