
The episode discusses major market movements, investment strategies, and the implications of Tim Cook's departure from Apple.
TIMESTAMPS: 00:00 Entrepreneurship Mindset 05:58 Invest Fest Updates 07:48 Trading Tip: Gap Fills 11:26 Apple Long Term Lesson 17:52 Relationship Building Blueprint 23:22 Oil Surge Strategy 30:35 Crash Talk and Dotcom Comparisons 40:47 Geopolitical Risk Checklist 42:50 Options Time Decay Trap 44:27 DRAM ETF Memory Play 50:23 Tim Cook Steps Down 56:23 Apple Missed the AI Wave 01:02:20 New CEO Hardware Focus 01:19:49 Robinhood Stock Surge 01:28:38 S&P 500 Entry Levels 01:30:25 War, Recession, and Black Swans 01:35:06 Stop Waiting for a Crash 01:39:30 Palantir Valuation Debate 01:50:13 Million Dollar Portfolio Blueprint 01:55:20 Community Wins and Announcements In this episode, we break down the biggest stories moving the market right now—from the recent oil surge and what it means for traders, to whether the market is truly strong or being propped up by manipulation. We also cover S&P 500 entry levels, recession risks tied to global conflict, and the impact of tariff refunds on the economy. We dive into key plays including Palantir’s long-term outlook, the best utility stock between NRG, Duke, and Southern, and whether names like Duolingo and HIMS are opportunities or…
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