Let’s talk about the election!
Vice President Kamala Harris vs Former President Donald Trump for the United States Presidency. Which sectors will benefit from the winner? Let’s Break down the economic issues & what to expect!
GAR capital turns 10 years old! The 10 lessons I have learned as CEO of this great company!
Talking options trading volume. Stocks that moved today & commentary on the current market
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Israel/Iran conflict headlines drop tech and the market. Volatility spikes and fear of escalation increases. Let’s go over it and implications for the market
Talking markets with GAR! Nasdaq futures, Costco, GOOG, QQQ & latest news headlines
This week, we had a perfect 5/5 record in options trading with strong execution and early exits to lock in profits. The post-FOMC rally, along with a 50 basis point cut, signals more upside potential, especially in lagging sectors like tech and small caps. Stay tuned for our watchlist and join our paid membership to take advantage of the ongoing bull market!
“Where Carlos was wrong!” No reversal in stocks! At least not yet. Green across the board. OPEX tomorrow scenarios and trade setup for S&P Nasdaq futures. Google + Tesla calls cook!!
The Fed gives the big cut! 50 point cut, what did Powell say? what does that mean short term? What does that mean long term? Talking dollar & S&P 500 index reversal setups!
Tomorrow is the day! We get a rate cut! Markets chopped today. Talking PLTR, TSLA, S&P 500 & COST.
A snooze fest for tech investors. Goldman makes a call of 6000 SPX. Talking PLTR, sectors, headlines & recapping the session!
After being out sick, Carlos returns to recap one of the best weeks in the stock market since November 2023, highlighting his team’s exceptional work in his absence. This episode covers the new rate easing cycle, its impact on inflation, and what to expect from upcoming Fed decisions and retail sales data.
Talking seasonality, macro, bonds getting bid, upside risk, downside risk to the market
Nasdaq gets its day in the sun. VIX takes a hit, yields fall helps mortgage rates, Broadcom earnings, todays TSLA move & GOOG puts in focus.
Pop and drop in stocks, ends the session flat, bonds get bought, falling dollar doesn’t help, and fake NVDA DOJ news
Markets fall the dollar rises. VIX spikes. Buy the dip yet? Is this tradeable? The September blues begin
Talking August results (not ideal)
US dollar (major key)
Scenarios Bull/Bear
Jobs jobs jobs! (NFP week)
Recapping the day, talking NVDA & chart levels!
Talking NVDA and its earnings!
What’s the next for the market?
Flat for stocks. Some 52 week highs, all quiet until NVDA earnings tomorrow!