This episode delves into the latest trends and key actions in various futures markets, focusing particularly on the impact of recent Fed decisions. Mark Longo alongside guest Carley Garner (DeCarley Trading), cover volatility in gold, silver, WTI crude oil, and livestock markets. They analyze significant moves, trade volumes, and option activities in these sectors, and provide insights into potential trading strategies. They also touch on the unusual behavior of gold and the introduction of Friday options in cattle, noting the implications for market dynamics. 01:04 Welcome to This Week in Futures Options 05:42 Movers and Shakers Report 14:00 Market Analysis: Metals and Commodities 28:23 Active Trading in Gold Options 29:25 The High Stakes of Gold's $4,000 Options 31:12 Silver's Surprising Performance 36:17 Exploring Energy Markets: Crude Oil Insights 44:18 Diving into Agricultural Options 51:39 Concluding Thoughts
09/19/2025