Futures Edge Show: Finance Unfiltered with Jim Iuorio and Bob Iaccino Podcast By Haynow Media cover art

Futures Edge Show: Finance Unfiltered with Jim Iuorio and Bob Iaccino

Futures Edge Show: Finance Unfiltered with Jim Iuorio and Bob Iaccino

By: Haynow Media
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Join market veterans Jim Iuorio and Bob Iaccino as they interview top-tier guests and draw on their combined 60+ years of experience in financial markets. Dive into compelling discussions on commodities, cryptocurrency, forex, futures, stocks, politics, and pop culture. They bypass the noise from traditional media and break down complex macroeconomics, price action, and policy impacts on markets and the economy, all in plain English. Jim and Bob make sense of what matters to you because it matters to them.Haynow Media Economics Personal Finance
Episodes
  • Before You Trade This Market, Watch This: Critical S&P & Nasdaq Warning
    Apr 8 2026

    Is this market setting up for another selloff… or a surprise reversal?

    Mike Arnold of Path Trading Partners returns to the Futures Edge for his monthly segment to break down the critical technical levels driving the S&P 500, Nasdaq, Russell, crude oil, gold, Bitcoin, Amazon, Google, and more. If you trade futures, stocks, ETFs, or options, this is the chart-focused analysis you need before making your next move.

    He explains why the market is still in “choppy bearish mode,” what needs to happen to flip bullish, and the exact support and resistance levels traders should be watching right now. The conversation also digs into how to trade around major headlines, why cash is a position, and why forcing trades in uncertain markets can be the fastest way to lose money.



    Timestamps:

    00:00 Introduction to Market Analysis and Key Participants

    00:53 Overview of Recent Market Support and Resistance Levels

    02:07 Identifying Overhead Resistance and Support Zones

    02:59 When to Enter Short Positions: Key Parameters

    04:06 Understanding Choppy Bearish and Bullish Modes

    05:47 Market Bias and the Importance of High-Probability Setups

    07:28 Trade Frequency and Capital Preservation Strategies

    10:20 Market Breadth Indicators: Stocks Above 50-Day Moving Average

    11:51 NASDAQ Analysis: Double Top Patterns and Support Levels

    14:23 Adding to Short Positions: Key Break Levels

    18:27 Russell 2000: Resistance, Support, and Trend Indicators

    21:59 Gold and Silver: Technical Levels and Market Outlook

    23:51 Bitcoin and Cryptocurrency Market Dynamics

    26:48 Crude Oil: Technical Patterns and Geopolitical Impact

    30:05 Market Reactions to Binary Events and News

    35:42 Largest Holdings and Stock Analysis: Google and Amazon

    38:58 Trading Strategies and System Testing Principles

    41:10 Closing Remarks and Market Outlook


    Newsletter: https://unfilteredinvestor.com/

    Shopify Podcast: open.spotify.com/show/60zQnUdSfZC43ZNoUJjTVp


    Stay Connected With Us.

    Twitter (X) [Bob Iaccino]: https://x.com/bob_iaccino

    Twitter(X) [jim Iuorio]: https://x.com/jimiuorio

    LinkedIn [Bob Iaccino]: https://www.linkedin.com/in/bob-iaccino/

    LinkedIn [James Iuorio]: https://www.linkedin.com/in/james-iuorio/

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    43 mins
  • Bitcoin vs Gold? Lawrence Lepard Explains What Investors Need to Know
    Apr 2 2026

    Is your money actually safe anymore?

    On this episode of Futures Edge, Jim Iuorio and Bob Iaccino sit down with Lawrence Lepard, author of The Big Print, to break down what today’s investors are really up against: rising debt, shaky fiat currencies, inflation, Bitcoin, gold, and the growing loss of trust in government stewardship of money.

    Larry explains why more everyday people are turning to sound money assets like Bitcoin and gold, what a potential sovereign debt crisis could mean for your portfolio, and why understanding monetary debasement matters whether you’re a trader, investor, or just trying to protect your future.

    This conversation is real, timely, and packed with insight for anyone wondering:

    - Why are bond markets acting strange?

    - Is Bitcoin replacing gold?

    - What happens if governments keep printing?

    - How do regular investors hedge against bad policy?


    Timestamps:

    00:00 Introduction and Guest Introduction

    02:27 Geopolitical Uncertainty and Economic Conditions

    04:59 Market Reactions to Geopolitical Events

    08:04 Gold and Bitcoin: Safe Havens or Speculative Assets?

    11:17 Sovereign Debt Crisis and Market Implications

    14:15 Equity Markets and Economic Predictions

    17:13 Bitcoin vs. Gold: A Shift in Perspective

    19:13 Skepticism in the Crypto Space

    25:00 Investment Strategies and Market Timing

    32:02 The Current State of Bitcoin and Stock Market Valuations

    34:57 Market Valuations and Economic Indicators

    36:18 Monetary Debasement and Its Implications

    39:06 The Role of Bitcoin in Government Strategy

    41:50 Government Control and the Future of Bitcoin

    44:22 The Nature of Wealth Distribution in a Bitcoin Economy

    47:01 The Historical Context of Money and Economic Systems

    48:26 Investment Strategies for Bitcoin and Future Outlook


    Newsletter: https://unfilteredinvestor.com/

    Shopify Podcast: open.spotify.com/show/60zQnUdSfZC43ZNoUJjTVp


    Stay Connected With Us.

    Twitter (X) [Bob Iaccino]: https://x.com/bob_iaccino

    Twitter(X) [jim Iuorio]: https://x.com/jimiuorio

    LinkedIn [Bob Iaccino]: https://www.linkedin.com/in/bob-iaccino/

    LinkedIn [James Iuorio]: https://www.linkedin.com/in/james-iuorio/

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    53 mins
  • Is America Heading for Recession? Jeffrey Tucker on Trump, Iran, Oil & Economic Reality
    Mar 20 2026

    What happens when rising oil prices, Middle East conflict, weakening jobs data, and America’s affordability crisis all collide at once?

    In this episode of Future’s Edge, Jim Iuorio and Bob Iaccino sit down with Jeffrey Tucker, president of the Brownstone Institute, for a wide-ranging and provocative conversation on the biggest forces shaping America right now. From Trump’s handling of Iran and the economic fallout of war, to recession fears, stagflation, tariffs, energy prices, and the slow collapse of the middle-class lifestyle, this episode pulls no punches.

    Jeffrey breaks down why he believes the Iran situation could be a major strategic mistake, how higher oil prices impact inflation and growth, why the latest jobs data is flashing warning signs, and whether America is drifting toward a new version of the 1970s. The conversation also digs into trade, debt, Fed policy, housing affordability, consumer habits, and the uncomfortable truth about why so many people feel poorer despite having more “stuff” than ever before.

    This is a deep, candid discussion about politics, markets, culture, and the real state of the American economy.


    Timestamps:

    00:00 Introduction and Bow Tie Anecdotes

    05:47 Iranian Situation: A Misstep by the Administration

    11:31 Economic Ramifications and Job Market Concerns

    16:40 Stagflation and Global Oil Dynamics

    27:39 The Inflation Debate: Oil Prices and Economic Impact

    30:11 Understanding Inflation: Real-Time Indexes and Economic Indicators

    32:00 Historical Economic Patterns: Lessons from the 1970s

    34:43 Geopolitical Dynamics: Trump, Iran, and China

    37:16 Midterm Elections: Implications for Trump's Agenda

    41:51 Reflections on Political Choices: Trump vs. Harris

    45:20 Consumer Behavior: Wants vs. Needs in Modern Society

    52:02 Frugality and Spending Habits: Lessons from the Past


    Follow along on social media: Twitter: https://x.com/bob_iaccinoTwitter: https://x.com/jimiuorioLinkedIn: https://www.linkedin.com/in/bob-iaccino/LinkedIn: https://www.linkedin.com/in/james-iuorio/Newsletter: http://theunfilteredinvestor.com/This episode is sponsored by: Independence Ark: https://www.independenceark.com/Code: F U AmerGold https://www.amergold.com/Code; F U

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    54 mins
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