
“You Don’t Sell Blow-offs” | Andrew Perry on Bullish Technicals of U.S. Stock Market, “Dangerous” Period for Global Equities, and Bull Case for Agricultural Commodities
From Monetary Matters with Jack Farley by Jack Farley
May 15, 2026 · 59 min
About this episode
Andrew Perry discusses bullish technicals for the U.S. stock market and the macro drivers for agricultural commodities.
Sponsor: Teucrium Corn Fund (NYSE Arca: CORN): https://teucrium.com/corn In this episode of Monetary Matters, host Jack sits down with veteran macro investor Andrew Perry of Macro Pillars. Perry provides a bullish technical outlook for US stocks, offering specific targets for the S&P 500 while warning against shorting the current momentum on a nominal basis. The discussion explores strategic pair trades, specifically being long US equities while shorting energy-dependent nations like Australia and Germany. Perry also explains the macro drivers behind his long positions in agricultural commodities—including corn, wheat, and soybeans—driven by fertilizer stress and geopolitical risks in the Strait of Hormuz. Listeners will gain deep insights into why the MOVE index and US Treasury Quarterly Refunding Announcements (QRA) are more critical indicators of market liquidity than the traditional VIX. Finally, Perry details the specific yield curve shifts, moving from bear to bull steepeners, that will signal the next major recessionary trade. Recorded May 11, 2026. This episode is sponsored by the Teucrium Corn Fund (CORN). Download our free eBook, "Why Investors Are Increasingly…
People in this episode
Host: Jack Farley
Guest: Andrew Perry
Topics covered
- U.S. stock market
- bullish technicals
- agricultural commodities
- market liquidity
- recessionary trade
- pair trades
Keywords
- S&P 500
- fertilizer stress
- geopolitical risks
- MOVE index
- Treasury Quarterly Refunding Announcements
- bull steepeners
- commodity ETFs
Sponsors
Teucrium Corn Fund
Mentioned in this episode
Places: Australia, Germany, Strait of Hormuz
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