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    In this episode, we break down the biggest stories moving the market right now—from the recent oil surge and what it means for traders, to whether the market is truly strong or being propped up by manipulation. We also cover S&P 500 entry levels, recession risks tied to global conflict, and the impact of tariff refunds on the economy. We dive into key plays including Palantir’s long-term outlook, the best utility stock between NRG, Duke, and Southern, and whether names like Duolingo and HIMS are opportunities or traps. Plus, we revisit the Tim Cook vs. Steve Jobs debate and what real impact in business looks like. We also share our trading tip and investing fact of the week, discuss when to scale in futures, risk management lessons, and strategies for building and managing a $1M portfolio. #MarketMondays #StockMarket #Investing #Trading #WealthBuilding #FinancialLiteracy #SP500 #OilPrices #Palantir #RiskManagement #FuturesTrading
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