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Ryan and Michael deliver a candid, unfiltered morning market briefing with banter and a full update from Clive Lambert: equities mixed, bond weakness, US dollar strength, and surging energy prices after Qatar’s LNG pause driving big moves in Brent and TTF.
The episode explores divergent US vs. European market reactions, China’s role in easing tensions, and practical advice — retail traders should avoid these highly volatile markets while watching Eurozone CPI and the UK Spring Statement for the next catalysts.
By Piq SuiteRyan and Michael deliver a candid, unfiltered morning market briefing with banter and a full update from Clive Lambert: equities mixed, bond weakness, US dollar strength, and surging energy prices after Qatar’s LNG pause driving big moves in Brent and TTF.
The episode explores divergent US vs. European market reactions, China’s role in easing tensions, and practical advice — retail traders should avoid these highly volatile markets while watching Eurozone CPI and the UK Spring Statement for the next catalysts.