Fresh news and strategies for traders. SPY Trader episode #1433.
The market experienced extreme whiplash, erasing strong morning gains due to heightened macroeconomic uncertainty. We analyze the divergence between blockbuster earnings (Nvidia's reversal, Walmart's surge) and persistent rate fears, outlining a defensive barbell strategy focusing on essential growth, consumer staples (XLP), and fixed income (BND, TLT) to manage ongoing volatility.