<p>In this episode of the Market Maker Podcast, we break down the surge in oil prices, the growing risk of $200 oil, and the controversy around large trades placed just minutes before a Trump headline hit the market. Is this insider trading, smart positioning, or algorithmic momentum?</p><p><br></p><p>We explore how markets react to political signals, why oil is so sensitive to geopolitical risk, and what could actually drive prices higher. We also take a deeper look at why both stocks and bonds are falling at the same time, and what that means for traditional portfolio strategies like the 60/40 model.</p><p><br></p><p>If you want to understand how markets really move and how professionals navigate chaos this episode is for you.</p><p><br></p><p>(00:00) Market Overview</p><p>(05:02) Stocks & Bonds</p><p>(09:22) Portfolio Risk</p><p>(16:00) $200 Oil?</p><p>(19:36) Demand Limits</p><p>(24:30) Trump & Markets</p><p>(26:14) Strait of Hormuz</p><p>(35:24) Front-Running Trump?</p><p>(46:55) Final Thoughts</p>