• The Hidden Machine Behind the Tech Selloff - June 28, 2026
    Jun 29 2026

    Tech didn’t just sell off — the market machine started working against it.

    In this episode of Macro & Flows, we break down the hidden mechanics behind the tech unwind: positioning, flows, systematic pressure, and the feedback loops that can turn a crowded trade into a fast-moving selloff. Beneath the headlines, this was not just about fundamentals or sentiment — it was about how modern markets actually move when liquidity, momentum, and risk management all collide.

    If you want to understand why the tape cracked, what the selloff is really signaling, and whether this is just a reset or the start of something bigger, this episode is for you.

    Disclosure: This podcast is for informational and educational purposes only and should not be considered investment advice. Markets involve risk, and listeners should conduct their own research or consult a financial advisor before making investment decisions.

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    20 mins
  • Record Highs, Fading Growth: The Market Signal Everyone Is Missing - June 21, 2026
    Jun 22 2026

    Markets are sitting near record highs — but beneath the surface, the growth pulse is starting to fade.

    In this episode of Macros & Flows, we break down the disconnect investors cannot afford to ignore: risk assets are still acting resilient, liquidity is still doing heavy lifting, and headline indexes look strong — yet the underlying macro momentum is quietly weakening.

    Is this just a pause inside a powerful bull market, or the early warning sign of a broader slowdown hiding beneath the melt-up?

    We dig into what the market is really pricing, why record highs can sometimes mask fragility, and what fading growth momentum could mean for equities, rates, credit, and positioning into the next major macro shift.

    The rally looks calm. The signal underneath may be anything but.

    Disclosure: This podcast is for informational and educational purposes only and should not be considered investment advice. Markets involve risk, and listeners should conduct their own research or consult a financial advisor before making investment decisions.

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    19 mins
  • The 1% Sell Trigger: Why Systematic Flows Could Flip the Market Fast - June 14, 2026
    Jun 15 2026

    The market looks calm — but beneath the surface, one move could change everything.

    In this episode of Macros & Flows, we break down the “1% systematic sell trigger” and why a seemingly small decline in equities could force a much larger shift in positioning from trend-followers, volatility-targeting strategies, CTAs, and other systematic players. When markets become dependent on flows, technical levels matter more than most investors realize.

    We unpack what could trigger the next wave of mechanical selling, why liquidity can disappear quickly when everyone is leaning the same way, and how investors should think about the difference between a normal pullback and a flow-driven air pocket.

    Calm markets don’t always mean safe markets. Sometimes they just mean the trigger has not been hit yet.

    Disclosure: This podcast is for informational and educational purposes only and should not be considered investment advice. Markets involve risk, and listeners should conduct their own research or consult a financial advisor before making investment decisions.

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    17 mins
  • Euphoria, Exhaustion, and the Macro Collision Ahead - June 7, 2026
    Jun 8 2026

    Markets are still trading with a sense of euphoria — but the growth data is starting to tell a very different story.

    In this episode of Macros & Flows, we breaks down the collision between resilient risk appetite and a sharp slowdown in the underlying macro backdrop. We look at why investors may be leaning too heavily into the soft-landing narrative, what a violent growth stall could mean for equities, rates, credit, and commodities, and where market complacency may be most exposed.

    The key question: is this rally confirming a durable expansion, or is the market simply ignoring the slowdown until it can’t anymore?

    Disclosure: This podcast is for informational and educational purposes only and should not be considered investment advice. Markets involve risk, and listeners should conduct their own research or consult a financial advisor before making investment decisions.




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    19 mins
  • Flying Blind: Why Market Momentum May Be Running Out of Radar - May 31, 2026
    Jun 1 2026

    Markets are still climbing, but the signal beneath the rally is getting harder to read.

    In this episode of Macros & Flows, we break down why market momentum may be “flying blind” — with investors leaning into risk even as macro visibility, policy expectations, liquidity conditions, and positioning risks become more uncertain. The rally may look resilient on the surface, but beneath it, the market’s radar is starting to fade.

    We discuss what’s driving the current momentum, where the blind spots are forming, and why the next phase of the market may depend less on price action — and more on whether fundamentals can catch up.

    Disclosure: This podcast is for informational and educational purposes only and does not constitute investment advice, a recommendation, or an offer to buy or sell any securities. Always conduct your own research and consult a qualified financial advisor before making investment decisions.

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    17 mins
  • The 7,095 Trigger: Is Retail Leverage About to Crack? - May 24, 2026
    May 25 2026

    Retail margin debt is flashing a warning sign. In this episode of Macros & Flows, we break down the “7,095 trigger” and why a seemingly technical market level could matter for risk appetite, leverage, and the next phase of the equity rally.

    As stocks continue to grind higher, a growing layer of retail leverage sits beneath the surface. The question is whether this leverage is fuel for another melt-up — or the kindling for a sharper unwind if key market levels begin to break.

    We discuss what rising margin debt says about investor psychology, why forced selling can accelerate downside moves, and how macro conditions, rates, liquidity, and market structure could turn a routine pullback into something more consequential.


    Disclosure: This podcast is for informational and educational purposes only and does not constitute investment advice, a recommendation, or an offer to buy or sell any security. Always conduct your own research and consult a qualified financial professional before making investment decisions.

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    18 mins
  • The Melt-Up Meets a Stalling Macro Engine - May 17, 2026
    May 17 2026

    Markets are melting higher, risk appetite is back, and investors are chasing momentum — but beneath the surface, the macro engine may be starting to stall.

    In this episode of Market Pulse by Orestes Capital, we break down the tension between equity market euphoria and emerging warning signs across rates, credit, the consumer, and macro data. The rally may still have momentum, but the key question is whether markets are looking through weakness — or ignoring it entirely.

    We cover:

    • Why the market continues to reward risk-taking
    • The disconnect between asset prices and macro fundamentals
    • What rates and credit are signaling
    • Consumer pressure points investors should watch
    • Why “melt-up” conditions can create hidden downside risk

    This is a must-listen for investors tracking cross-asset markets, macro risk, and the fragile balance between liquidity, sentiment, and fundamentals.

    Disclosure: This podcast is for informational and educational purposes only and does not constitute investment advice, an offer to sell, or a solicitation to buy any security or financial product. Views expressed are those of the speaker and are subject to change. Always consult your own financial, legal, and tax advisors before making investment decisions.

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    18 mins
  • Global Markets Reach Peak Growth Euphoria - May 10, 2026
    May 10 2026

    In this episode of Macro & Flows by Orestes Capital, we examine why global markets appear to be entering a phase of peak growth euphoria — a powerful risk-on environment shaped by resilient economic data, AI-led investment enthusiasm, supportive liquidity, and strong cross-asset momentum.

    The discussion breaks down the message from equities, rates, credit, commodities, currencies, and investor flows, with a focus on whether recent market strength reflects a durable growth upswing or a crowded late-cycle positioning impulse.

    We also highlight the key risks investors should watch, including rate volatility, inflation surprises, stretched sentiment, narrow leadership, and signs of a two-speed economy beneath the surface.

    Topics covered include global growth momentum, equity market leadership, Fed expectations, cross-asset positioning, investor flows, liquidity conditions, and the macro regime signals shaping portfolio strategy.

    For informational purposes only. Not investment advice.

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    42 mins