Fri, 27 June 2025
The market is pushing all-time highs, but what’s really driving this move — and can it sustain? In this episode, Matt and Mark Justice dive deep into the catalysts that could fuel and support a true breakout, including fiscal tailwinds, a shifting Fed stance, and an upcoming earnings cycle. But the real star of the show? AI. The brothers break down the top 10 narratives powering the AI trade that’s putting the market on its back — from Nvidia’s renewed dominance to Broadcom’s chip surge, Meta’s $15B AGI moonshot, and Oracle’s emerging role as the AI cloud backbone. They also cover Palantir’s quiet AI expansion into government, Micron’s memory bottlenecks, and why semiconductor earnings are breaking out with analyst backing. Plus: why sovereign nations are going all-in on AI infrastructure, hyperscaler capex is off the charts, and robotaxis could become AI’s first blockbuster commercial application. If you're trading this market or just trying to understand what’s really under the hood of this rally — this is the episode you don’t want to miss. |
Sat, 21 June 2025
This week, the Justice brothers are back and diving deep into one of the most important questions facing markets today: What exactly is the Fed so scared of? Following this week’s FOMC meeting, Mark and Matt Justice break down Jerome Powell’s latest comments, dissect the Fed's cautious tone, and explore whether Powell has earned the nickname “Too Late Powell.” Are they being overly cautious—or are they seeing something the market isn’t? In addition to the macro deep dive, the boys bring the heat in “Stock In and Drop It,” breaking down setups and news around major names like Oracle, Nvidia, AMD, and Meta. Expect technicals, fundamentals, and sharp insights on what matters now. And don’t miss this week’s Coaches Corner, where Matt answers listener questions on oil seasonality and shares perspective on whether this is a day trading or swing trading market environment. Insightful, actionable, and always entertaining—don’t miss this episode of the Trading Justice Podcast. |
Fri, 13 June 2025
In this explosive episode of the Trading Justice podcast, brothers Mark and Matt Justice unpack the potential financial fallout from Israel’s recent strike on Iran. What happens to markets when missiles fly? The conversation dives deep into the economic and geopolitical ramifications of the attack, exploring the potential paths of escalation and drawing key parallels to April 2024’s Israel-Iran conflict and Russia’s 2022 invasion of Ukraine. With oil spiking, what might this mean for inflation—and the Fed's next move? The brothers debate whether Powell’s recent caution can hold in the face of geopolitical volatility.
In the “Stock it or Drop it” segment, Matt gives his take on a lineup of key names including Marathon Petroleum (MPC), Silver Wheaton (WPM), Taiwan Semiconductor, Oracle, and even the ever-volatile GameStop. Plus, Matt tackles listener questions on managing volatility and covered call strategies in uncertain markets.
A timely, insightful, and action-oriented episode for traders trying to stay ahead of global shocks. |
Sun, 8 June 2025
In this episode of the Trading Justice podcast, Matt Justice takes us on a powerful journey through economic history to reveal how we've become Addicted to Debt. From the roots of Keynesian economics to the evolution of today’s financial system, Matt explores how policy choices and structural shifts have created an economy that disproportionately rewards the top while leaving others behind. This isn’t about blaming parties or politicians—it's about putting the system itself on trial. What are the market consequences of this debt addiction? And more importantly, what are the potential solutions? Plus, in this week’s Stock It or Drop It, Matt gives his sharp take on nearly a dozen popular stocks—including Amazon, Nvidia, Broadcom, DraftKings, and more—breaking down which ones are worth a place in your portfolio. |
