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Alfonso Peccatiello & Brent Donnelly · Investment

The Macro Trading Floor

The Macro Trading Floor is a fun and actionable macro and markets podcast hosted by Alfonso Peccatiello and Brent Donnelly. If you are looking for banter, financial education, and actionable trade ideas this is the podcast for you!

Episodes

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6% Yields Next & Will Stonks Handle It?

09 Oct 2026
40m
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Market participants are currently navigating a search for a new equilibrium as nominal yields adjust to align with economic growth. Tactical short positions on the Nasdaq reflect concerns over poor market breadth and elevated fixed income volatility, signaling potential downside despite long-term bullish trends. Bond y...

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Macro Blowups Everywhere - What Now?

02 Oct 2026
38m
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Global bond markets face significant volatility as French government bonds widen to 150 basis points over German Bunds, mirroring 2012 crisis levels. This instability, compounded by negative convexity in mortgage-backed securities and the unwinding of levered carry trades, creates a challenging environment for short-te...

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On Bessent, Gold & Idiosyncratic Trades

28 Aug 2026
35m
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US fiscal policy and the credibility of Treasury Secretary Bessent’s debt management strategies dominate current market sentiment, as the potential for $40 trillion in national debt fuels debates over structural risks versus orthodox nominal growth. While narrative volatility remains high, actual market movements sugge...

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On Sizing Options, The Fed and The JPY

09 Aug 2026
37m
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Market resilience persists despite recent volatility, as equal-weight indices and value stocks outperform AI-driven momentum. Central banks remain behind the curve, with nominal growth and significant fiscal deficits continuing to support equity markets even as monetary policy appears increasingly disconnected from eco...

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Warsh Woke Up The Bond Vigilantes

31 Jul 2026
38m
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The Federal Reserve’s abandonment of explicit forward guidance has effectively transferred monetary control to bond markets, forcing investors to navigate a regime where long-end yields dictate growth and inflation outcomes. This "Maradona theory of interest rates" implies that without proactive central bank interventi...

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The Orange Variable

10 Jul 2026
35m
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Macro trading requires navigating the "orange variable"—the unpredictable, random policy shocks that create market noise and distort short-term price action. Current economic data points toward a Goldilocks environment characterized by stable growth and inflation that remains above target but avoids a runaway spiral. Y...

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The Rebasement Trade

26 Jun 2026
30m
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The Inflation Ghost, Gold and Options

22 May 2026
37m
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Global macro markets are currently driven by accelerating nominal growth, fueled by substantial U.S. fiscal deficits and intense AI-related capital expenditure. Despite recent inflationary data, the Federal Reserve remains constrained by a lack of consensus, making a rate hike unlikely without sustained, long-term econ...

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Process, Process, Process

15 May 2026
33m
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US dollar strength remains a focal point as market participants weigh the impact of US equity outperformance against shifting interest rate differentials. While the Euro faces downward pressure due to diverging economic surprises, successful trading requires prioritizing sophisticated structures—such as using knockouts...

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Macro Investing In A Post-Hormuz World

08 May 2026
33m
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New All-Time Highs Are Here: Now What?

17 Apr 2026
37m
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Frameworks To Trade The Hormuz Crisis

10 Apr 2026
33m
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How To Trade Macro In A War

20 Mar 2026
33m
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The Macro Trading Floor podcast analyzes the unstable equilibrium in the markets, particularly focusing on oil's potential volatility and its implications for stocks. The discussion highlights the market's initial max bearish dollar and bullish gold stance, followed by a rinse out and the current hedging strategies inv...

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Hormuz & The Terms of Trade Shock

06 Mar 2026
37m
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The New Fed vs The Good Old Bond Market

30 Jan 2026
37m
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US Dollar Hedging: A Real Risk or Just a Narrative?

23 Jan 2026
37m
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Japanese Macro Tails

16 Jan 2026
36m
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The Everything SuperCycle?

09 Jan 2026
37m
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More Pain Ahead Or Buy The Dip?

23 Nov 2025
30m
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In this episode of The Macro Trading Floor, Alfonso and Brent analyze recent market events, including Nvidia's earnings, NFP data, and intraday reversals in QQQs, expressing concern over negative price action despite good news. They discuss the potential role of retail unwinding and Bitcoin's weakness in driving market...

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''Run It Hot'': The Comeback?

14 Nov 2025
28m
Page 1

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