I am worried there will be a really bullish reaction to the first rate cut, then if (and only if) the economy continues to show weakness, people will realise there is no reason to be buying, and the markets will sell off since the fed is not cutting rates because of a strong economy and slowing inflation but because of economic weakness
@kingant844 ай бұрын
😊😅😊
@nvssrzbbkiu4 ай бұрын
exactly my thoughts too, but nobody in the office shares this view..
@MarkWTK4 ай бұрын
that's my view too. we are in the late business cycle. however, my timeline is after the US election. if trump win people will cheer the tax cuts, then there'll be nothing left to cheer especially when the government is close to shutting down again
@dignaga694 ай бұрын
BABE WAKE UP
@MrEo894 ай бұрын
Hey babe, I’m up.
@dailydoseofnews48284 ай бұрын
Hey! Can you explain how PMI''s/ISM's work. As i understand it they measure by month so a PMI at 48 is alittle worse than last month. And 50 is the same as last month etc. So since we've been below 50 since end of 2022 things must be pretty bad, even tho we've had afew above 50 lately
@DrMatthewHudson4 ай бұрын
Buying OTM calls in TSLA with 100% IVR and based on no fundamentals is crazy! ...im in!
@NINTENDOPOKEMON1004 ай бұрын
Hi Mark, I am deluged with institutional research every day from several firms as my wealth mgmt firm pays for many of these services. The sheer amount of information wears on me and puts me off looking at a lot of it. I'm mostly passive in my investing but I have L1 (and significant other financial quals) and can make sense of a 10q/k, it's just that the applied series is just currently amounting to infotainment. Do you have any idea how I could get over this hurdle - finance is all i think about, just not company analysis at the moment though it's this kind of north star i'm trying to get to. Ps. My wife likes your haircut and picked up on it before you even mentioned it.
@alfredodelsors7144 ай бұрын
Hi Mark, I am testing some directional strategies with synthetics, and I wanted to get your thoughts on financing the call (if my time horizon is 3 months, I buy it with a 6-month expiration to take advantage of convexity) by selling 1-month puts and rolling the position 3 times to finance the call and take advantage of theta decay. Thank you
@mranderson38174 ай бұрын
as always, great video. thank you!
@Matthieu55554 ай бұрын
Hello Dr Mark, I have a question that might seem silly, is there one applied level per CFA level ? I bought it at CFAL1, do I need to buy a level 2 applied level and so on ? And I think you answered in the video, cheers !
@MarkMeldrum4 ай бұрын
Only need it once.
@PJTutorials-n4x4 ай бұрын
dearest Dr. Mark! thank you so much for your great content. I have been following you since 2016 and I am a CFA charter holder thanks to your amazing content. I am concerned that you may ruin your reputation by confidently misunderstanding TSLA. There are so many things you are missing about this company. Please don't get me wrong, I respect you and I wish time prove me wrong!
@fplbrunoo8584 ай бұрын
I was wondering what your thoughts are on European Car makers VW, Mercedes, BMW that are trading at very low valuations right now. Their brand power might not be as strong in EVs. Tariffs on Chinese EVs have been introduced but might not be sufficient or might lead to retailiation. How do you see this competitive environment playing out?
@Keane_Collins4 ай бұрын
For playing TSLA momentum, would this be a good scenario for a Call Ratio Backspread?
@CurtisSmith1154 ай бұрын
Do you still have the July BWA $35 put or did you close them out? Mine were assigned early, so I plan to wait for a run up to around $34-$35 before selling some upside calls.
@zeshankhan21124 ай бұрын
Hi Mark . Will you be doing a video on your analysis of Jackson Hole economic policy symposium outcome ? I think it will be great to hear your analysis
@Chris-inv4 ай бұрын
Hi Mark! A while ago, I sold a June 28th @42 put option on NEM with a premium of approximately $1.45 (I don't recall the exact amount but was close to that). The NEM options were exercised at 3 AM on June 29th, and now my average price is $40.64. If I received the premium when I sold the put option and the strike price of the option was $42, how is my average price $40.64? What am I missing here? And how the options were exercised at 3am if the market was closed? Thanks!
@amaanmashooq11274 ай бұрын
Hello Dr. Mark 1. Why do you use $40B as the runoff rate when you calculate time to get to ample reserves? Shouldn't it be 60B (25B + 35B)? 2. There was this statement in the minutes - "median expected timing for the end of balance sheet runoff of April 2025". what does this mean? Thank you.
@Slayer176064 ай бұрын
Hi Dr mark, can you please elaborate how did you get the Q3 Q4 basis points cut for fed funds futures, I kind of struggled to understand that part
@SmallInvestor-ec4xg4 ай бұрын
Dr. Mark, can you please describe the rules you have for your theta portfolio, with examples? What does the 50% take profit rule mean? What does the 100% take loss rule mean?
@sdfergf4 ай бұрын
Mark, what are your thoughts on using options flow data as a screening tool or as a way to determine where big money is flowing into as a signal. For example, you mentioned TSLA call option buyers driving up the stock due to delta hedging. Is there a screen or specific options flow data that can be predictive of stock direction?
@CurtisSmith1154 ай бұрын
Have you managed to pick up any of the puts on Canadian banks that you were targeting?
@whitleyparrish4 ай бұрын
Hi Mark, I ve been slowly getting into understanding financial statements by explaining each line item as you showed in your ABR's video (thanks for that). Now I'm wondering how to take the next step which is moving from just matching and understanding to actually evaluating whether those numbers are good indicators of a company's potential. Any tips or advice on how to approach this effectively?
@nshs12344 ай бұрын
I want to practice delta hedging on IBKR Paper trading and I think Tesla is a good stock to practice on. Do you know any other names to practice delta hedging?
@SomeOne-gi2gp4 ай бұрын
For someone totally new to this, what daily routine would you recommend (reading newspapers, markets or things to follow or keep an eye on etc) regardless of whether you’re in the American markets?
@daneomegan4 ай бұрын
I totally get your thoughts on switching targets for Tesla from fundamentals to their investor base but is this a "first base" type trade? Is it now personal?
@HectorYague4 ай бұрын
Hi Mark. Regarding that risk reversal on XLU, the calls are quite more expensive than the calls, so you gotta go one or two strikes OTM calls (ITM puts) to make it cashless. Plus, the bid/ask sprears on XLU are pretty wide. Is it worth it over just buying the underlying?
@shadowwodahs14 ай бұрын
Hi Mark, is there any insight you can offer on companies like Nurp that sell you an algorithmic forex trading bot that supposedly has incredible returns? If they are full of it, i'd like to understand how. Thanks!
@eltorkymohamedhossam4 ай бұрын
Thank you for your efforts, for valuating companies skills, I want to be professional about it, also for complex cases (such as different business units in one company). How can I get started or what is your recommendation? Thank you
@CurtisSmith1154 ай бұрын
What do you make of Lamb Weston falling another 10%? Are you still interested in this as a put target? I am seeing lots of law suit news articles on them
@dignaga694 ай бұрын
Hi Mark, you've taught us how to PM loss to elimination using call/put options (i.e., to sell calls or buy puts in the case of a long stock position). Does this same process apply for futures positions? If not, what is the best way to manage a losing position on futures? I ask because futures have added complexities such as the options being largely European style & they have contract expiry dates.
@davemur14 ай бұрын
Do you primarily use cash covered puts or uncovered puts?
@joshportnoy81024 ай бұрын
Hi Prof, hope all is well. How do you see a potential scenario of Biden dropping out of current elections affecting the markets? Thank you,
@evanelston8584 ай бұрын
Hi Mark, curious to know your thoughts on institutional strategists that are in the news and how much weight you can put on their predictions? Kolanovic of JPMorgan recently stepped down due to missing his bearish predictions and it seems like Wilson at Morgan Stanley could follow suit. Thoughts on the possibility of big bank strategists intentionally producing unalarming outlooks just so they don't become a headline and lose their job? Also, not sure how much knowledge you have in the insurance industry but with the increasing rate in natural disasters/cat losses, what is your outlook on the smaller premium insurers who can't handle large losses and also can't handle the skyrocketing cost of reinsurance? Will they ultimately get bought out by the larger players in the industry?
@chorimaverick18534 ай бұрын
Could you comment on the latest news in ABR? As of now im not touching it....
@claudiosavoldelli32394 ай бұрын
Hi Mark thanks for your videos, utterly enlightening!! I passed the first level of cfa thanks to your courses and have just become a market analyst in an Consulting firm in italy, focused on commodities like gas and energy power. I'd like to create a market outlook like yours but for the instruments we use to analyze. Our client are mostly from italy. Do you have any advice? Like drivers, index strategy or youtube channel that maybe are analyzing the subject. In our analysis we monitor storage level, LNG production, TTF(spot and futures) , JKM, nuclear energy power and renewable, gas demand and supply in europe and asia, political situation in europe and Arabia, ETS market for Co2 and the weather. I'd like to add something more, any advice would be helpful. Have a nice day, Kind Regars, C.S.
@tykepope4 ай бұрын
Congratulations 👍
@CurtisSmith1154 ай бұрын
SectorSPDR and SPGlobal are wrong. Looks like LSEG is the winner.
@edonbabameto76524 ай бұрын
Thank you as always Dr. Mark. I might actually have a personal theory on why markets keep hitting new ATH. Could it maybe be that people are waking up to the fact that slightly higher inflation is preferred given that reluctance of government to slow down spending. And in the case where we are living with higher base inflation for some time, the best place to be is equities. This probably also explains the strong commodities. Government and the fed will be there to backstop any potential slowdown or crisis, and it definitely seems we are living in financial repression. So, I am just making the devils advocate here, why not be in equities? The above scenarios seem to be a win-win for all.... (the only unfortunate case is hyper-inflation taking root or any major exogenous economy-stopping shocks, and even here-we still managed to backstop an actual global pandemic), but other than that, it's equities and commodities for the win? Again I am just making the devils advocate and laying out a thesis, cause people are smart, people see these overvalued levels by any historical measure. And they still continue, so maybe it's not an issue of skill or lack of fundamental knowledge. What do you think?
@高金山-f8l4 ай бұрын
Hello Dr. Mark, May I confirm if the 2025 l3 full access package is "one-fee-to-pass"? If I fail can I still access to the material or I have to repurchase the package. Thanks!
@MarkMeldrum4 ай бұрын
I am not sure if CeriFi is continuing that feature. You will have to ask them directly.
@tuannguyen-eo7vd4 ай бұрын
Thank you Dr. Mark
@jaredtarabocchia63314 ай бұрын
Mark, Love the Tsla slander. 1. Wanted to hear your thoughts on the overall framework you've developed in preparing and presenting research. Ex. How you were able to provide such a valuable product in the CFA prep industry. What kind of processes are you utilizing and what kind of questions are you asking yourself when carrying out the work that goes into it. Not asking about the business model, I'm seeking to understand the mental frameworks and common denominators behind individuals that provide tremendous value in their given field/specialty. I understand this comes with a lot of growth over time, trial and error, grit, etc., but what are some practical things that have worked for you, i.e., processes, systems, frameworks. 2. On the last slide, can you explain where ntm OE and EPS were pulled from.
@Keane_Collins4 ай бұрын
Hi Mark, just to play devil's advocate, but couldn't ARK simply be rebalancing their portfolios since Tesla's sharp price increases caused it to be over concentrated? Probably more rules based than a change of conviction? TSLA is still ARKK's largest holding by a considerable margin. Just food for thought, thanks for the video.
@cainrizwan96074 ай бұрын
Dhi earnings coming up. Would you look at selling puts
@DanielPark-fj7ub4 ай бұрын
Are there any reason CAR.UN is trading at 0.81 Price / Book value in premium to its industry peers? ( Minto at 0.56 and Interrent at 0.69). Killam at 0.82. They all seem to have positive correlation to one another, which is expected. The only thing I can think of is just the sheer size, which may make them a more developed company, and better diversified. Perhaps the concentration of their apartment portfolio at particular geographical location can also be a factor. However, if it was about the market cap, Killam at 0.82 wouldn't make sense. Is my observation an oversight?
@jamesstallard14694 ай бұрын
How about golden ocean group? I'm down 86% and still hoping!
@bricechagrindesainthilaire64424 ай бұрын
I'm going to get the applied level bundle. Your website already figured out by itself that my account is verified. That is nice. Could I ask, How much time do I have to go through this bundle ? Can I take my time and go over it slowly over a 1 year period ? Thank you
@MarkMeldrum4 ай бұрын
There is no expiration.
@ah694954 ай бұрын
ABR reports on July 26. Let’s go, lads!
@MrDeadlyCrow4 ай бұрын
So you are now not afraid anymore about extended discussion about us fiscal debt and bankruptcy? You got back to selling puts on TLT?
@antonzharkov60364 ай бұрын
Going long at this moment in TSLA is stepping into the 3rd group of investors, inviting but so momentum - scary because the party could be over any time soon, and there is week fundamental to support it, why not to go long into fundamentally strong company, where the market agrees with you and operates in line with your logic?
@hubertbuggert68834 ай бұрын
51:50 At last he sees the light ;-). TSLA has to be treated like a MEME stock for some time to come. Fundamentals will matter eventually but you can lose your arse trying to guess at WHEN.
@tjloehnert4 ай бұрын
Can you show how you created your synthetic position in XLU?
@DrMatthewHudson4 ай бұрын
I was wondering the same thing. I'm guessing he sold an ITM put (or put spread).
@CurtisSmith1154 ай бұрын
Do you know of a good data source that details the average kilometres driven per year for US citizens? I am trying to figure out the trend in kilometres driven since the pandemic. Just trying to do a quick analysis on whether the adoption of EV's will outweigh a potential reduction in kilometres travelled, in terms of tyre replacement. For reference, the following study found that the tyre wear for hybrid vehicles was around 35% more than ICE vehicles. ScienceDirect "Impact of vehicle type, tyre feature and driving behaviour on tyre wear under real-world driving conditions"
@MarkMeldrum4 ай бұрын
Miles driven per year - FRED.
@sean48504 ай бұрын
for XLU, you sold puts right? Confused about the synthetic part
@SmallInvestor-ec4xg4 ай бұрын
He bought a call at 70 and sold a put at 70 with Mar '25 expiration, and got a credit of $0.92 for it too. That's a synthetic position - payoff is no different than going long on XLU.
@DrMatthewHudson4 ай бұрын
@@SmallInvestor-ec4xgYep, exactly. Potential $380,000 loss lol. I did a similar trade but limited the loss potential by all selling a call and buying a put.
@DrMatthewHudson4 ай бұрын
Sold puts and bought calls
@farzad_tahamtani4 ай бұрын
Hi Prof. Meldrum Thanks for these great weekly insightful videos I was wondering which sector is the most boring one in this economy? I want to invest in some boring companies with solid cash flows and good dividends before the bullish sentiment changes in the USA and catch the move from growth to value.
@MarkMeldrum4 ай бұрын
Utilities
@rohanlansakara96504 ай бұрын
As per your philosophy on life, do you consider an Olympic gold medalist a successful person?
@shqipe3334 ай бұрын
10 yr and 30 yr auction will add some risk for bonds as well
@chh80864 ай бұрын
Is that a cardboard box??
@blakeduncan64414 ай бұрын
Hi professor mark meldrum, I'm going through applied series quite slowly and i was wondering if you would teach the ser up for acquiring data to excel automatically using pythons/program directly from sites like Fed treasury gov, fed reserve NY, CME etc. If there is the set up, could you point it to the section where i can find it?
@frankstudent4 ай бұрын
TSLA is a trade for me, not an investment.
@WesleyYappy-n1m3 ай бұрын
32:53 56:57
@Madzguy0074 ай бұрын
Hey Mark, i get it that Tesla is overvalued with it's current offerings/sales, etc.. However this is what is making you biased against it, which is justified. My personal opinion, is that Musk is a very unique CEO of our modern day. A lot of Tesla's value is tied to him personally.. I remember one of your videos a few weeks ago, where you mentioned that nobody believes in Musk anymore and you specifically mentioned that the stock doesn't rally anymore of things he says...but here we are, it's up 40% in 1 week. Again my personal opinion, Tesla's value has always been high because it's speculative based on the future and it will always be that way as long as Musk remains the CEO.