In this episode, Peter discusses a significant market sell-off that saw the Dow drop by 1200 points and the S&P 500 drop by 227 points. He examines the influence of Fed days, Trump’s policies, and investor expectations on market volatility. Peter also looks at the market rally that followed the sell-off, analyzing the roles of GDP data, S&P rebalancing, and option expiration. Don't miss his insights on key stocks to watch, the impact of institutional trading, and the outlook for the end of the year. Learn how to navigate this turbulent market like a pro!
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