LIVE 4PM ET (1PM PT): Crowd Forecast News Market Expert Panel Discussion
Today’s Expert Panel:
• Harry Boxer of TheTechTrader.com
• Sunny Harris of MoneyMentor.com
• The Option Professor of OptionProfessor.com
Join us at 4PM ET for this week’s exciting discussion where we talk about the events and issues that traders need to know for the week ahead!
On this episode, the panel of experts listed above will start out with their forecast for the S&P500, then move on to talk about the stocks, strategies, economic announcements or anything else important that they expect to happen that traders need to know to start their week off right.
We will also be live streaming the episode on YouTube.
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THE RECORDING WILL BE PROCESSED AND POSTED BELOW THIS LINE
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Find the podcast version of all episodes HERE.
Recorded: XXXXXXXXX/2026 at 4PM ET
Duration (video & podcast): XXXXXX minutes
Highlights:
• [coming soon]
Lineup for this Episode:
• Harry Boxer of TheTechTrader.com
• Sunny Harris of MoneyMentor.com
• The Option Professor of OptionProfessor.com
Find the podcast version of all episodes HERE.
Recorded: 06/29/26 at 4PM ET
Duration (video & podcast): 57 minutes
Highlights:
• Breakout levels shaping the next market move
• VIX readings clarifying risk-on conditions
• Breadth expansion beneath concentrated tech leadership
• Sector rotation ideas beyond crowded winners
• Financial stocks ahead of major earnings catalysts
• Buy-now-pay-later names gaining consumer spending relevance
• Real estate and homebuilder setups near support
• Healthcare stocks showing discounted turnaround potential
• Metals, energy, and rate-sensitive market context
• Options strategies for limited-risk upside opportunities
Lineup for this Episode:
• The Option Professor of OptionProfessor.com
Find the podcast version of all episodes HERE.
Recorded: 06/22/2026 at 4PM ET
Duration (video & podcast): 61 minutes
Highlights:
• Critical S&P support levels for market direction
• VIX thresholds signaling potential volatility spikes
• Breadth indicators revealing hidden rally strength
• Quarter-end rebalancing risks and holiday market tailwinds
• Small-cap and mid-cap momentum leadership clues
• Hyperscaler pullbacks near key technical support
• Storage and semiconductor stocks with acceleration potential
• Reversion-to-mean setups for discounted leaders
• Cheap options tactics around high-probability support zones
• Sector comparisons for finding stronger breakout candidates
Lineup for this Episode:
– The Option Professor of OptionProfessor.com
Find the podcast version of all episodes HERE.
Recorded: 06/15/2026 at 4PM ET
Duration (video & podcast): 60 minutes
Highlights:
• Peace-deal rally context for fast-moving market conditions
• Trend knockout patterns for renewed upside momentum
• VIX stretch signals for timing reversion risk
• Semiconductor strength and broader technology leadership clues
• Energy rollover signals after the latest oil shock
• Financials, airlines, and homebuilders showing rotation potential
• Short-term options tactics for index momentum trades
• Momentum lists for finding where money flows
• Sector breadth clues beyond mega-cap technology
• IPO excitement and risk around SpaceX-style launches
Lineup for this Episode:
• Chris Sayre of BigTrends.com
• Dave Landry of DaveLandry.com
• The Option Professor of OptionProfessor.com
Find the podcast version of all episodes HERE.
Recorded: 06/08/26 at 4PM ET
Duration (video & podcast): 60 minutes
Highlights:
• Market pullback levels every trader should monitor
• VIX signals for spotting volatility expansion risk
• Breadth warnings beneath headline index strength
• AI infrastructure costs reshaping market expectations
• Pullback opportunities in strong semiconductor names
• Energy breakout levels tied to summer inflation risks
• Financial stocks showing possible rotation potential
• Healthcare names trading near major value zones
• Staples and fast food as defensive opportunities
• Options tactics for limited-risk market participation
Lineup for this Episode:
• The Option Professor of OptionProfessor.com
💡 Summary PDF: 5 Money Management Rules For Trading Explosive Momentum Stocks
Find the podcast version of all episodes HERE.
Recorded: 06/01/26 at 4PM ET
Duration (video & podcast): 57 minutes
Highlights:
• Index divergences and potential market distribution signals
• Relative strength clues across stocks and sectors
• Elliott Wave targets for possible index resistance
• Gold, silver, and crude oil technical outlooks
• Financial sector setups and warning levels
• Biotech and semiconductor leadership under scrutiny
• Software stock rebounds and AI-related opportunities
• IPO trading rules for avoiding early traps
• Momentum setups in space and genomics stocks
• Real-time chart tactics from experienced traders
Lineup for this Episode:
• Dave Landry of DaveLandry.com
• Harry Boxer of TheTechTrader.com
• Michael Filighera of LogicalSignals.com
• The Option Professor of OptionProfessor.com
Find the podcast version of all episodes HERE.
Recorded: 05/26/2026 at 4PM ET
Duration (video & podcast): 57 minutes
Highlights:
• Post-holiday market strength across major indexes
• SunnyBands signals for spotting potential reversals
• Practical ways to judge trend exhaustion
• Software stocks with possible AI-driven momentum
• Hidden opportunities in AI infrastructure suppliers
• Technical setups in cybersecurity and automation stocks
• Gold, silver, copper, and crude market context
• Simple mental tools for stronger trading discipline
• Prop trading psychology and risk-control insights
• E-mini trading lessons from real-time chart analysis
Lineup for this Episode:
• Norman Hallett TheDisciplinedTrader.com
• Sunny Harris of MoneyMentor.com
• The Option Professor of OptionProfessor.com
Find the podcast version of all episodes HERE.
Recorded: 05/18/2026 at 4PM ET
Duration (video & podcast): 60 minutes
Highlights:
• Market weakness may signal a larger turning point
• Key levels could shift the market direction
• Elliott Wave context for the current pullback
• Options activity may be driving recent volatility
• Bond yields remain a major market warning
• High-yield bonds deserve close attention now
• Oil prices could reshape the market outlook
• Gold and silver may be setting up again
• Software stocks show signs of renewed strength
• Risk management matters near market extremes
Lineup for this Episode:
• Michael Filighera of LogicalSignals.com
• The Option Professor of OptionProfessor.com
Find the podcast version of all episodes HERE.
Recorded: 05/11/2026 at 4PM ET
Duration (video & podcast): 53 minutes
Highlights:
• Learn how CPI and PPI may move markets
• Inflation could challenge bullish trends
• AI infrastructure stocks showing unusual strength
• Trend indicators for stronger trade timing
• Learn trail-stop tactics for fast-moving stocks
• Rotation opportunities beyond mega-cap tech
• Review metals, semiconductors, and infrastructure setups
• See how traders evaluate strength versus exhaustion
Lineup for this Episode:
• Chris Sayre of BigTrends.com
• The Option Professor of OptionProfessor.com