LiveSquawk Market Talk

By LiveSquawk

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Category: Investing

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Episodes: 113

Description

Join market veterans for deep-dive analysis ahead of major financial events that move markets. From Non-Farm Payrolls to central bank decisions, our expert guests break down market positioning, potential trading opportunities, and global implications. Get the critical insights you need to stay ahead of market-moving news. Brought to you by LiveSquawk, the trusted source for real-time financial news covering 120+ countries and all major asset classes. Get a FREE trial of our 24-hour news squawking service here 👉 https://www.livesquawk.com/#sign-up

Episode Date
World Cup Economics: When Geopolitics Moves Markets in June 2026
Jun 05, 2026
Week 13: Middle East Crisis, $Oil, and the ECB's Dangerous Gamble
Jun 01, 2026
Dollar Dominance: How Geopolitical Risk Is Reshaping Central Bank Calculus
May 18, 2026
Digital Assets at the Crossroads: Debt, Hacks & the Midterm Moment
May 11, 2026
Ceasefire or Not, These Markets Have a Problem
May 09, 2026
Hold Steady: When Geopolitics Forces Central Banks Into an Impossible Corner
Apr 30, 2026
Oil Shock: UAE Exits OPEC as Hormuz Crisis Rewrites Energy Markets
Apr 29, 2026
Rate Hold or Regime Change? The FOMC Decision That Could Reshape Markets
Apr 29, 2026
Beyond the Iran Shock: Why Q1 Earnings Still Have Bulls Talking
Apr 22, 2026
From Fear Factor to Relief Rally: Hormuz, Stocks, and Central Bank Risk
Apr 20, 2026
Ceasefire Relief, Lingering Risk: Markets Caught Between Calm and Uncertainty
Apr 14, 2026
Narratives vs Reality: Markets Between Headlines and Macro Signals
Apr 03, 2026
Crisis Under the Surface: Markets Face Stagflation and Hidden Credit Risks
Mar 27, 2026
Oil, Ultimatums & Fed Missteps: Markets React to Iran Tensions
Mar 24, 2026
Hawkish Holds and a War Nobody's Priced In
Mar 23, 2026
Wait-and-See Mode: ECB and BoE Pause as Crisis Clouds the Outlook
Mar 23, 2026
Oil Shock & Fed Gridlock: Inside March’s High-Stakes FOMC Call
Mar 18, 2026
Oil Surges, Policy on Edge: Markets Grapple with Middle East Conflict
Mar 13, 2026
Middle East Tensions & Market Shocks: Oil, Jobs, and Rate Risks
Mar 06, 2026
Tariffs Return, Tensions Rise: Markets Weigh Trade Shocks and Middle East Risk
Feb 27, 2026
Holding Pattern: Sticky Inflation, Tariff Turmoil & Markets on Alert
Feb 23, 2026
Earnings Rebound & AI Bets: Corporate Profits in a Divided Market
Feb 13, 2026
Earnings Rebound & AI Bets: Corporate Profits in a Divided Market
Feb 11, 2026
UK Politics Shake the Pound: Dovish Signals and Data Delays Stir Markets
Feb 06, 2026
Politics Over Policy: Why Markets Are Ignoring the ECB and BoE
Feb 06, 2026
A Subtle Fed Shift: Language Changes, Leadership Speculation & Global Ripples
Feb 02, 2026
Fed on Hold, Markets on Edge: Inside January’s FOMC Balancing Act
Jan 29, 2026
Greenland Gambits & Hawkish Turns: Markets React to a Shifting Global Order
Jan 26, 2026
Markets in Limbo: Politics, Policy Drift & the Search for Safe Havens
Jan 19, 2026
Tariffs, Troops & Teflon Markets: Why 2026 Resilience Is Being Tested
Jan 12, 2026
Central Banks Hit the Brakes: Yen Shock, Data Doubts & 2026 Risk Signals
Dec 29, 2025
Year-End Central Bank Crossroads: Europe Holds, Japan Moves
Dec 19, 2025
The Yen Trade Endgame: Global Markets Face a Structural Shift
Dec 15, 2025
The Hawkish Cut Dilemma: Fed Politics, Projections & Credibility on Trial
Dec 11, 2025
Budget Gambles & Data Vacuums: Markets Navigate a Foggy Macro Landscape
Dec 11, 2025
Stale Signals, Real Risks: What the Fed Reads Between the Lines
Dec 11, 2025
Data Delays & Tech Whiplash: Markets Brace for a Chaotic Week
Dec 11, 2025
Rate Path Reckoning: Global Central Banks Signal New Era
Nov 03, 2025
ECB October Hold: Why Europe Became the Calm in Global Storm
Oct 31, 2025
The Week That Could Break Markets: Three Central Banks Decide
Oct 27, 2025
Liquidity Crunch: Regional Banks Signal Deeper Credit Stress
Oct 23, 2025
Q3 Earnings: Jamie Dimon's Warning vs AI's $1 Trillion Promise
Oct 19, 2025
France: The New Sick Man of Europe Shakes Markets
Oct 13, 2025
Data Blackout: How the U.S. Government Shutdown is Rewiring Markets
Oct 06, 2025
Shutdown Showdown: How 69% Odds Could Derail Fed Policy
Sep 29, 2025
September Scaries Defeated: When Markets Defy Seasonality
Sep 22, 2025
Behind the Curve: Four Months of Hidden Payroll Weakness Exposed
Sep 18, 2025
The Great Dissent: FOMC Split Could Shock Markets
Sep 15, 2025
Global Fiscal Reckoning: Why Bond Yields Are Rising Everywhere
Sep 08, 2025
The Employment Pivot: Fed's New Priority Sparks Market Revolution
Sep 01, 2025
Weekly Review: The Great Fed Flip
Aug 25, 2025
The Trader's Mind: Why Stress Kills Performance with Sylvain Asimus
Aug 11, 2025
Trump's Tariff Win: Why 15% Feels Like Victory
Aug 05, 2025
Fed's Wait-and-See Trap: Why Powell Won't Cut Despite Market Pressure
Aug 04, 2025
The 15% Question: How Trump's Trade Template Changes Everything
Jul 25, 2025
Q2 Earnings Preview: Growth Slows to 5% as Banks Set Tone
Jul 16, 2025
Weekly Review: Trump's Tariff Reaffirmation, Dollar Stall, and Market Indifference
Jul 15, 2025
Weekly Review: Jobs Data Deception, Debt Ceiling Impact, and Market Vulnerability
Jul 08, 2025
Commodity Corner: Inflation, Oil Bottoms, and Copper Hype
Jun 28, 2025
Weekly Review: US Strikes Iran, Central Bank Dovish Shift, and Oil Market Dynamics
Jun 24, 2025
Commodity Corner: Oil Trading, Overvalued Platinum, and Dollar Recovery
Jun 24, 2025
FOMC: Rate Hold Expected as Labor Market Shows Troubling Signs
Jun 18, 2025
Weekly Review: CPI Cooling, Tariff Lag Effects, and Central Bank Caution
Jun 16, 2025
Inflation Outlook: May CPI Expectations and 'Sell America' Theme
Jun 12, 2025
Weekly Review: Jobs Data Illusions and Trump-Musk Market Chaos
Jun 09, 2025
Commodity Corner: Copper's Strange Behavior and Treasury Outlook
Jun 09, 2025
ECB Preview: Rate Cut 'Baked in the Cake' Amid Trade Chaos
Jun 05, 2025
Commodity Corner: Bond Opportunity and Holiday Weekend Effects
May 21, 2025
Commodity Corner: Are the Bears Hibernating? Tesla Rival's Mining Plans and Hidden Warnings
May 20, 2025
CPI Reaction: April's Inflation Ease May Be 2025's Low Point
May 14, 2025
Commodity Corner: Crude Oil Analysis, Fed Uncertainty, and Geopolitical Risks
May 13, 2025
Earnings Season Review: Strong Results Meet Tariff Uncertainty
May 13, 2025
Fed Decision: Powell's Tone, Beige Book Warnings, and Long-Term Economic Risks
May 08, 2025
NFP Preview: Labor Market Slowdown and Recession Warning Signs
May 05, 2025
Commodity Corner: Dollar Collapse Impact on Treasuries, Silver, and the Yen
Apr 28, 2025
Commodity Corner: Treasury Volatility, Gold Caution, and Tariff Impact
Apr 22, 2025
ECB Rate Decision: Cut Now, Pause Later
Apr 22, 2025
Commodity Corner: Metals Analysis, Oil Targets, and Technical Indicators
Apr 14, 2025
Market Earthquake: Trump's Tariff Reversal Overshadows CPI Data
Apr 11, 2025
Earnings Preview: Strong Q1 Numbers Meet Murky Guidance
Apr 11, 2025
Tariff Tsunami: Economic Impact and Trading Implications of "Liberation Day"
Apr 07, 2025
Commodity Corner: Treasury Markets, Metals Rally, and Japan's Struggles
Mar 28, 2025
Fed Focus: Economic Projections, Trump's Policies, and Recession Odds
Mar 20, 2025
Commodity Corner: Bitcoin, Steel, and the Loonie
Mar 18, 2025
CPI Preview: Market Volatility and the Bank of Canada's Next Move
Mar 18, 2025
Europe's New Economic Reality: Unpacking the ECB's Latest Rate Decision
Mar 07, 2025
Commodity Corner: From Lithium to Corn - This Week's Market Moves
Mar 03, 2025
Commodity Corner: Why Tariffs Could Backfire
Feb 27, 2025
Mid-Season Earnings Check: Strong Beats, Hidden Concerns
Feb 18, 2025
January CPI Preview: The Devil's in the Details
Feb 14, 2025
Double Header: Why NFP and BoE Might Not Matter
Feb 13, 2025
ECB's Dilemma: Fighting Fire on Multiple Fronts
Feb 13, 2025
FOMC Preview: The Calm Before Trump's Storm?
Feb 13, 2025
CPI Preview: Is Inflation Really Under Control?
Feb 13, 2025
Q4 Earnings Season: Why Good Might Not Be Good Enough
Feb 13, 2025
NFP Preview: Why This Jobs Report Might Not Matter
Feb 13, 2025
Commodity Corner: The Super Bowl of Grain Reports
Feb 13, 2025
FOMC Preview: The Last Dance of 2023
Feb 13, 2025
Triple Header: US CPI and Global Central Bank Decisions
Feb 13, 2025
NFP Preview: December's High-Stakes Jobs Report
Feb 13, 2025
Inflation Watch: Making Sense of October's CPI Report
Feb 13, 2025
CPI Preview: High Stakes for Markets After Trump Victory
Feb 13, 2025
Markets React: Trump's Victory and the Fed's Next Move
Feb 13, 2025
The Great Earnings Divide: Tech Giants vs Reality
Feb 12, 2025
Perfect Storm: PCE, Payrolls, and Politics Preview
Feb 12, 2025
ECB Preview: Is Europe's First Rate Cut Just Hours Away?
Feb 12, 2025
September CPI Preview: What's Next for Fed Policy?
Feb 12, 2025
Q3 Earnings Preview: Why Lower Expectations Could Drive Markets
Feb 12, 2025
NFP Preview: When Global Risks Overshadow Jobs Data
Feb 12, 2025
PCE Preview: Beyond the Fed's Favorite Inflation Gauge
Feb 12, 2025
FOMC Preview: The Case for 25 vs 50bp Rate Cuts
Feb 12, 2025
ECB Preview: Rate Cut Consensus vs German Growth Concerns
Feb 12, 2025
NFP Preview: Why September's Jobs Report Could Reshape Dollar Trends
Feb 11, 2025