
The MPC Markets Morning Call is a daily Australian stock market podcast hosted by Mark Gardner, Founder & CEO of MPC Markets. Published every weekday before the ASX opens, it covers overnight Wall Street moves, ASX sector outlooks, commodities, currencies, interest rates, and geopolitics ,everything Australian investors need to start the trading day. Mark brings nearly 30 years of experience acros... more
| Publishes | Daily | Episodes | 269 | Founded | a year ago |
|---|---|---|---|---|---|
| Number of Listeners | Categories | InvestingBusiness | |||

A quiet overnight session but plenty to unpack. Wall Street edged up as tech bounced ahead of Nvidia's earnings, oil plunged 6% on Strait of Hormuz reopening hopes, and US bond yields posted their biggest drop in two months. Mark and Phil recap the s... more
Stocks mixed overnight — chip selloff drags the Nasdaq while the Dow holds on. US-Canada trade talks collapse with 50% auto tariffs threatened from January 2027, Nvidia posts its longest losing streak since 2022 ahead of Wednesday's earnings, and Tex... more
Wall Street finished higher Friday but posted weekly losses as bond yields and Iran dominated sentiment. Mark Gardner and Phil Deloccheri cover the seesaw week in equities, Ray Dalio's debt crisis warning and call to sell bonds for gold, Bitcoin's 20... more
Wall Street fell 0.9% as Treasury Secretary Bessent's bond buyback relief reversed within 24 hours, with 10-year yields pushing above 4.70% and US debt crossing $40 trillion. Oil surged past $93 on Trump's "economic D-Day" threat against Iran, while ... more
US public debt crossed $40 trillion for the first time and Treasury Secretary Bessent responded with his second market intervention this month — doubling long-bond buybacks to calm a brutal sell-off that pushed the 30-year yield to its highest since ... more
The global bond rout finally caught Wall Street's attention — the Nasdaq dropped 1.3% as semis plunged 5%, with the U.S. 30-year yield hitting 5.33% (highest since 2007). Mark and Phil unpack the bond selloff spreading across Japan, Germany, the UK a... more
Stocks slid overnight as the US-Iran truce expired without a deal — Trump rejected any extension and threatened Oman over Hormuz. Brent crude topped $90, 30-year Treasury yields hit their highest since 2007, and Anthropic's revenue run rate surged to... more
Wall Street drifted lower on Friday after retail sales posted their biggest drop in over a year and consumer sentiment slumped — but the S&P 500 still notched a third straight weekly gain as cooling inflation pushed Fed rate hike odds down to 33%. Me... more
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Listeners, social reach, demographics and more for this podcast.
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The episodes consistently deliver a data-driven pre-market briefing focused on Australian equities and macro signals, anchored by overnight Wall Street moves, global macro cues, and sector rotations. A recurring emphasis is on technology and semiconductors, energy prices, and geopolitical developments that could influence early trading in Australia. Viewers can expect concise stock-specific notes, macro context, and tactical trading guidance for the ASX day ahead, often with cautious views on risk assets amid Fed commentary, inflation dynamics, and geopolitical tensions. Noteworthy moments tend to center on major policy shifts, critical earnings signals, and AI/digital infrastructure themes shaping capital allocation, with the host occasion... more
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MPC Markets Morning Call launched a year ago and published 269 episodes to date. You can find more information about this podcast including rankings, audience demographics and engagement in our podcast database.
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Recent guests on MPC Markets Morning Call include:
1. Phil DeLoughery
2. Phil Delocquery
3. Phil DeLockery
4. Philip Delocquery
5. Finn Judele
6. Kai Chen
7. Finn Judel
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