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The Wednesday Season 2 Official Woecast


1 Here We Woe Again: Jenna Ortega, Creators Al Gough & Miles Millar 31:46
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BE WARNED! This podcast will contain spoilers for Wednesday Season 2, episodes 1-4. Join host Caitlin Reilly each week as she takes you deep into the twisted world of Wednesday with an amazing group of guests! And producer Thing will be helping out to make sure everything goes to plan - well, mostly, anyway... In this episode: Jenna Ortega peels back the layers on the new tension between Wednesday and Enid. And that terrifying vision! Plus… Series showrunners Al Gough and Miles Millar reveal why they made Morticia Addams such a central character in this season, and what it means for Wednesday. Whether you’re a normie or an outcast, the Wednesday Season 2 Official Woecast will be the place for all things Nevermore! For more juicy details about Wednesday Season 2, head over to Tudum.com to get all of the latest updates. 1:15 Preparing for Season 2 3:25 Evolving Wednesday’s look for Season 2 4:12 Addams clan expands for Season 2 6:12 Joanna Lumley joining the cast 7:38 Wednesday and Enid's Friendship 9:00 Wednesday’s Vision 10:50 Jenna is a Producer 13:45 Al and Miles introduction 14:03 Wednesday takes down a Serial Killer 15:05 Intergenerational Relationships & the Addams Women 17:48 Catherine Zeta-Jones as Morticia in Season 2 20:48 Wednesday and Enid’s relationship 24:04 Steve Buscemi joining the cast 26:19 Wednesday’s popular! 27:45 Boy with the Clockwork Heart stop motion sequence…
The Option Block 1381: Going Over The Top for Options
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Content provided by The Options Insider Radio Network. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by The Options Insider Radio Network or their podcast platform partner. If you believe someone is using your copyrighted work without your permission, you can follow the process outlined here https://ppacc.player.fm/legal.
In this episode, host Mark Longo is joined by co-hosts "Uncle Mike" Tosaw from St. Charles Wealth Management and Andrew "the Rock Lobster" Giovanazzi from Option Pit. They discuss various aspects of the current options market, including unusual activity alerts, market analysis, and strategies. The show kicks off with a lively and contentious eighties trivia challenge, setting a spirited tone for the episode. Key topics include a detailed look at the AI phenomenon affecting tech stocks like Google Class A, Amazon, and Nvidia. They also delve into specific trades in stocks like UnitedHealth and their broader implications. Uncle Mike discusses the importance of having a plan when dealing with high-volatility trades and explains his cautious approach despite being a noted bull. The episode finishes with a preview of upcoming earnings, including household names like Dollar General and Cracker Barrel, and a thorough examination of ongoing options activity. 00:00 Introduction and Podcast Information 01:25 Meet the Hosts 03:13 80s Trivia Challenge 07:26 Market Analysis and Trading Insights 09:22 Drone Stocks and Market Reactions 15:20 Energy and Technology Sector Highlights 19:24 VIX and Single Stock Options Activity 25:44 Tech Stocks Performance Overview 26:09 Meta's AI Announcement and Market Reaction 26:52 Core Weave Deal and AI Dominance 27:47 Apple and Other Tech Giants 28:43 Palantir vs. Nvidia: A Market Poll 29:59 Earnings Highlights and Market Trends 31:24 Unusual Options Activity: The Odd Block 44:01 Strategy Insights: Hedging and Market Volatility 49:18 Market Watch and Final Thoughts
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2999 episodes
Manage episode 486519941 series 2794653
Content provided by The Options Insider Radio Network. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by The Options Insider Radio Network or their podcast platform partner. If you believe someone is using your copyrighted work without your permission, you can follow the process outlined here https://ppacc.player.fm/legal.
In this episode, host Mark Longo is joined by co-hosts "Uncle Mike" Tosaw from St. Charles Wealth Management and Andrew "the Rock Lobster" Giovanazzi from Option Pit. They discuss various aspects of the current options market, including unusual activity alerts, market analysis, and strategies. The show kicks off with a lively and contentious eighties trivia challenge, setting a spirited tone for the episode. Key topics include a detailed look at the AI phenomenon affecting tech stocks like Google Class A, Amazon, and Nvidia. They also delve into specific trades in stocks like UnitedHealth and their broader implications. Uncle Mike discusses the importance of having a plan when dealing with high-volatility trades and explains his cautious approach despite being a noted bull. The episode finishes with a preview of upcoming earnings, including household names like Dollar General and Cracker Barrel, and a thorough examination of ongoing options activity. 00:00 Introduction and Podcast Information 01:25 Meet the Hosts 03:13 80s Trivia Challenge 07:26 Market Analysis and Trading Insights 09:22 Drone Stocks and Market Reactions 15:20 Energy and Technology Sector Highlights 19:24 VIX and Single Stock Options Activity 25:44 Tech Stocks Performance Overview 26:09 Meta's AI Announcement and Market Reaction 26:52 Core Weave Deal and AI Dominance 27:47 Apple and Other Tech Giants 28:43 Palantir vs. Nvidia: A Market Poll 29:59 Earnings Highlights and Market Trends 31:24 Unusual Options Activity: The Odd Block 44:01 Strategy Insights: Hedging and Market Volatility 49:18 Market Watch and Final Thoughts
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The Options Insider Radio Network

1 Volatility Views 643: Finding Vol in the Dog Days of Summer 57:06
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In this episode of Volatility Views, Mark Longo is joined by Russell Rhoads (Kelley School of Business - Indiana University), Mark Sebastian (The Option Pit) and Euan Sinclair (Hull Tactical) to discuss the latest trends and market activity in the world of volatility trading. The show dives into specific topics such as current market volatility, the VIX options market, and how different volatility ETPs (Exchange Traded Products) are performing. They provide insights into the volatility surface, market maker activities, and potential impacts from geopolitical and economic events. Detailed analysis and predictions for the upcoming week's volatility levels are provided, along with discussions on specific trades and strategies observed in the market. The episode closes with a look at unusual options activity and the usefulness of different inverse volatility products. 01:05 Welcome to Volatility Views 01:53 Meet the panel 04:14 Volatility Review: Market Recap 06:51 Fed Fund Rates and Market Movements 16:27 Crypto Volatility Insights 26:19 VIX Options Analysis 32:07 Unexpected VIX Trades and Market Reactions 33:32 Analyzing a Bizarre VIX Trade 36:34 Weekly VIX Options Activity 42:42 Inverse Volatility Products Performance 48:36 Predicting VIX Movements 52:39 Conclusion and Final Thoughts…
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The Options Insider Radio Network

In this episode of the Hot Options Report, we recap a dynamic week in the options market. The discussion opens with VIX options, which saw a significant surge with 843,000 contracts traded, highlighting the popularity of the 15.5 puts. SPY options also saw substantial activity, but fell just short of their daily average volume (ADV). Trading in SPX options nearly met their ADV with 3.6 million contracts traded. IWM showed near-record activity with 1.5 million contracts. The NASDAQ QQQ options hit 4.1 million contracts, just above their ADV. Single-name stocks like Amazon, MicroStrategy, Palantir, AMD, Apple, and Tesla also showed remarkable trading volume, with Amazon leading with 927,000 contracts. Nvidia topped the list with nearly 3.5 million contracts, driven primarily by the 180 calls. 00:00 Introduction and Welcome 01:04 Final Hot Options Report for the Week 02:18 VIX Options Activity 03:06 SPY Options Activity 03:50 SPX Options Activity 04:28 Small Caps Options Activity 05:34 Nasdaq Options Activity 06:25 Single Names Options Activity 06:52 Top 10 Most Active Options 18:02 Conclusion and Next Week's Preview ------------------------------------------------------------------------- All investing involves risk. Brokerage services for US listed securities, options and bonds in a self-directed brokerage account are offered by Open to the Public Investing Inc, member FINRA & SIPC. Not investment advice. Options trading entails significant risk and is not appropriate for all investors. Customers must read and understand the Characteristics and Risks of Standardized Options before considering any options strategy. Options investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk, including the potential for losses that may exceed the original investment amount, and are only available for qualified customers. Index options have special features and fees that should be carefully considered, including settlement, exercise, expiration, tax, and cost characteristics. See Fee Schedule for all options trading fees. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade. Rebate rates vary monthly from $0.06-$0.18 and depend on the particular security, whether the trade was placed via API, as well as your current and prior month’s options trading volume. Review Options Rebate Terms here . Rates are subject to change. Go to public.com/optionsbrief to learn more.…
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The Options Insider Radio Network

1 The Advisor's Option 146: Battle Royale - Cash-Secured Puts vs. Collars 59:28
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In this episode, Mark Longo, Matt Amberson (ORATS), and Matthew Tuttle (Tuttle Capital Management) delve into several key areas, including the ongoing growth in the options market, the utility of zero-day options, and various options-based ETFs. The discussion covers market trends like increased single-name equity volume, strategies for employing cash-secured puts, and the benefits of using options for portfolio protection. Matt Amberson introduces their new AI tool, Otto, and Matthew Tuttle discusses the launch of their new zero-day and leveraged ETFs. Listener questions on options strategies, metrics for selling volatility, and the best ways to hedge risks are also addressed. 01:25 Welcome to The Advisor's Option 03:18 Meet the Hosts and Guests 07:06 Market Overview and Volatility Discussion 15:05 Earnings Volatility Report 20:38 Options 101: Strategies and Tips 28:21 The Buzz: Latest Developments in Options 31:48 Explosive Growth in the Options Market 32:20 New Generation of Options Traders 32:34 Innovations in Options Trading 33:42 ETF Strategies and Market Trends 36:54 Zero Day Options and Flex Options 41:22 Leveraged ETFs and High-Octane Trading 42:27 Office Hours: Answering Listener Questions 50:51 The Importance of Hedging for RIAs 55:27 Final Thoughts and Resources…
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The Options Insider Radio Network

1 TWIFO 461: Wild Times in Equities, Crypto, Energy and More 58:00
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In this episode, Mark Longo and Dan 'The Man' Gramza from Gramza Capital Management, examine the surge in futures options trading, discuss inflation impacts, and explore the latest in small-cap and equity index movements. Energy commodities, particularly Nat Gas and WTI, also receive a thorough analysis, including fundamental supply and demand factors as well as geo-political influences. Crypto markets, especially the dramatic resurgence of Ethereum, are reviewed alongside its compelling volume activities in both big and micro contracts. The episode concludes with a light-hearted debate on the best Rocky movie, tying in audience insights. 01:21 Welcome to This Week in Futures Options 04:22 Movers and Shakers Report 11:27 Exploring Equity Markets 27:17 Crypto Market Insights 31:13 Technical Analysis: Market Movements and Predictions 36:32 Interest Rates and Currency Trends 37:14 Energy Market Deep Dive: Nat Gas and Crude Oil 50:48 Futures Options Wrap-Up and Fun Poll…
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The Options Insider Radio Network

In this episode of the Hot Options Report, Mark Longo discusses recent market fluctuations influenced by inflation. Highlighting key contracts and trading activities, the host explains market behaviors in VIX, SPY, SPX, IWM, NASDAQ, and significant single-name equities such as Tesla, Nvidia, Apple, AMD, Intel, and Amazon. 01:03 Today's Market Overview 02:10 VIX Options Activity 03:18 SPY Options Activity 04:20 SPX Options Activity 05:14 Small Caps and IWM 06:14 NASDAQ and QQQ 07:11 Single Name Equity Options 08:36 Top 10 Options Movers 17:00 Conclusion and Upcoming Shows ------------------------------------ All investing involves risk. Brokerage services for US listed securities, options and bonds in a self-directed brokerage account are offered by Open to the Public Investing Inc, member FINRA & SIPC. Not investment advice. Options trading entails significant risk and is not appropriate for all investors. Customers must read and understand the Characteristics and Risks of Standardized Options before considering any options strategy. Options investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk, including the potential for losses that may exceed the original investment amount, and are only available for qualified customers. Index options have special features and fees that should be carefully considered, including settlement, exercise, expiration, tax, and cost characteristics. See Fee Schedule for all options trading fees. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade. Rebate rates vary monthly from $0.06-$0.18 and depend on the particular security, whether the trade was placed via API, as well as your current and prior month’s options trading volume. Review Options Rebate Terms here . Rates are subject to change. Go to public.com/optionsbrief to learn more.…
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The Options Insider Radio Network

1 The Option Block 1398: We Must Break You!!! 1:00:08
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In this episode of The Option Block, the host Mark Longo, along with guests Henry "The FlowMaster" Schwartz from Cboe and "Uncle" Mike Tosaw from St. Charles Wealth Management, delve into current market dynamics influenced by inflation data, Fed rate cuts, and significant movements in stocks like Apple, AMD, and Nvidia. They also explore unusual options activity in stocks like Equinox Gold and Amplitude, revealing intriguing trading strategies and market sentiments. The discussion includes the implications of upcoming geopolitical summits and the ongoing earnings season. The episode wraps up with listener questions on trading strategies and a nostalgic look back at 80s movies such as Rocky IV. 01:05 Meet the Hosts and Show Overview 03:17 Market Analysis and Trading Insights 05:24 Volatility and Market Trends 08:44 Individual Stocks and Market Movers 29:02 Earnings Season Highlights 30:14 Cisco's Market Reaction 30:34 Applied Materials Earnings Preview 31:03 Upcoming Retail Earnings: Target and Walmart 31:39 Seasonal Trading Insights 32:29 Odd Block: Unusual Options Activity 33:15 Equinox Gold Corp Analysis 40:59 Unity Software: Big Call Buyers 44:30 Mail Block: Listener Questions 44:58 Rocky IV and 80s Nostalgia 46:43 Earnings Poll and Market Sentiment 51:44 Around the Block: Market Watch 54:45 Show Wrap-Up and Upcoming Content…
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The Options Insider Radio Network

1 The Futures Rundown 44: ETH Steals The Show 32:35
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In this episode of The Futures Rundown, host Mark Longo is joined by Nick Cassano, the Director of Trading and Risk Management at Tradier, who shares insights on trading activities and market trends. They discuss the top gainers and losers of the year, focusing on the significant movements in cryptocurrencies like Ethereum and traditional markets such as the NASDAQ, soybeans, and platinum. The episode also addresses listener questions about ETH's resurgence and its potential impact on future options trading. 00:00 Introduction to Options Insider Radio Network 01:07 Understanding the Futures Markets 02:59 Guest Introduction: Nick Cassano 04:10 Market Analysis: Movers and Shakers 05:04 Crypto Market Insights 06:42 Top Futures Trading Activity 17:04 Year-to-Date Market Trends 23:33 Futures Free for All: Listener Q&A 30:36 Closing Remarks and Upcoming Shows…
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The Options Insider Radio Network

In this episode, we cover VIX volatility, which has decreased notably as markets rallied. We offer detailed insights into high trading activities across various indices and stocks, including SPY, SPX, IWM, and popular single names like Apple, Tesla, Nvidia, and AMD. For VIX, about 642,000 contracts were traded compared to an ADV of 734,000. The SPY saw nearly 8.15 million contracts, while the SPX had around 4 million. Small caps (IWM) reported 2.13 million contracts. Key stocks like Intel, American Airlines, Robinhood, and Palantir also featured prominently, with Intel and American Airlines seeing notable options activity. 00:00 Introduction and Welcome 01:17 Public: Cost-Effective Options Trading 01:57 VIX and Volatility Market Update 02:57 SPY and SPX Options Activity 04:23 Small Caps and QQQ Analysis 06:20 Single Name Equity Options Highlights 07:29 Top Options Movers: Intel to Nvidia 14:24 Conclusion and Upcoming Content ------------------------------------------------------ All investing involves risk. Brokerage services for US listed securities, options and bonds in a self-directed brokerage account are offered by Open to the Public Investing Inc, member FINRA & SIPC. Not investment advice. Options trading entails significant risk and is not appropriate for all investors. Customers must read and understand the Characteristics and Risks of Standardized Options before considering any options strategy. Options investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk, including the potential for losses that may exceed the original investment amount, and are only available for qualified customers. Index options have special features and fees that should be carefully considered, including settlement, exercise, expiration, tax, and cost characteristics. See Fee Schedule for all options trading fees. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade. Rebate rates vary monthly from $0.06-$0.18 and depend on the particular security, whether the trade was placed via API, as well as your current and prior month’s options trading volume. Review Options Rebate Terms here . Rates are subject to change. Go to public.com/optionsbrief to learn more.…
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The Options Insider Radio Network

1 Options Boot Camp 351: Let's Get Exotic With Lookback Options!! 33:21
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This episode discusses various exotic options strategies, particularly lookback and fixed strike options, and their potential advantages and costs. Mark Longo and Dan Passarelli also address listener questions and concerns about options trading in the current market climate, including the higher volatility seen in recent earnings reports. They dive into the specifics of how lookback options work, the differences between floating and fixed strike lookback puts, and whether such exotic options are viable for retail traders. The episode also includes interactive audience polls about current VIX levels and earnings trading preferences and updates on the latest addition to the Options Insider Radio Network. 01:12 Welcome to Options Bootcamp 01:50 New Shows and Pro Membership Benefits 03:05 Introducing Dan Passarelli 03:38 Listener Mail Call: Exotic Options 05:00 Exploring Lookback Options 12:32 Fixed Strike Lookback Options Explained 20:39 Question of the Week: VIX Predictions 24:27 Earnings Season Trading Strategies 27:14 Market Taker Question of the Week 30:54 Conclusion and Upcoming Shows…
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The Options Insider Radio Network

1 The European Market Brief 7: Exploring the Mysterious World of Futures 59:10
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In this episode, the discussion centers around the basics of futures trading, including contract sizes, expiration, and margin requirements. Guests Russell Rhoads (Kelley School of Business, Indiana University), Rich Excel (Gies College of Business, University of Illinois) and Sascha Semroch (Eurex) join the talk, providing insights into how futures compare to stocks, the concept of contango and backwardation, and the nuances of trading VIX versus VSTOXX. The episode also addresses listener questions, covering topics such as the FX market in Europe, potential volatility catalysts in the EU, and strategies for trading VSTOXX. 01:22 Welcome to the European Market Brief 03:38 Meet the Experts: Russell Rhoads, Rich Excel & Sascha Semroch 06:13 Continental Conversations: Diving into Futures 06:54 Futures 101: Basics and Nuances 18:10 Understanding Futures Pricing and Expiration 21:30 Margin Rates and Capital Efficiency in Futures 26:32 Options on Futures: A Deeper Dive 28:38 Analyzing Volatility Futures in US and Europe 29:09 The Evolution of VSTOXX as a Standalone Product 30:31 Systematic Approaches to Trading VIX and VSTOXX 32:04 Pricing Nuances in VSTOXX and VIX Futures 34:46 Comparing Futures and Traditional Asset Classes 37:59 Final Thoughts on Futures Trading 43:50 Listener Questions: FX Market and VSTOXX vs VIX…
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The Options Insider Radio Network

In this episode of the Hot Options Report, the Options Insider Radio Network provides an in-depth analysis of the day's most significant options market activities. Key highlights include heavy trading in VIX options, with a significant drop in VIX to around 14.75 and over 1.13 million contracts changing hands. SPY saw 8.5 million contracts traded, with 466,000 of the 642 calls expiring today. NASDAQ and small caps also experienced active trading, with IWM handling 2.36 million contracts and QQQ seeing 4.08 million contracts traded. In single-name equities, notable activity was observed in Alphabet, Amazon, Meta, AMD, and others, with specific strike prices and volumes highlighted. description. 00:00 Introduction and Welcome 01:03 Today's Market Movers 01:56 Spotlight on VIX 02:48 SPY and S&P 500 Highlights 03:57 Small Caps and QQQ Analysis 05:03 Single Name Equity Options 05:13 Top 10 Hot Options 10:06 Conclusion and Sign-Off ------------------------------------------------ All investing involves risk. Brokerage services for US listed securities, options and bonds in a self-directed brokerage account are offered by Open to the Public Investing Inc, member FINRA & SIPC. Not investment advice. Options trading entails significant risk and is not appropriate for all investors. Customers must read and understand the Characteristics and Risks of Standardized Options before considering any options strategy. Options investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk, including the potential for losses that may exceed the original investment amount, and are only available for qualified customers. Index options have special features and fees that should be carefully considered, including settlement, exercise, expiration, tax, and cost characteristics. See Fee Schedule for all options trading fees. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade. Rebate rates vary monthly from $0.06-$0.18 and depend on the particular security, whether the trade was placed via API, as well as your current and prior month’s options trading volume. Review Options Rebate Terms here . Rates are subject to change. Go to public.com/optionsbrief to learn more.…
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The Options Insider Radio Network

1 The Crypto Rundown 286: Is This the Start of Altcoin Season? 44:31
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In this episode of The Crypto Rundown, Mark Longo dives into the latest trends and trading activities in the crypto derivatives markets. He is joined by Greg Magadini, Director of Derivatives at Amberdata. They discuss various aspects of the crypto market including Bitcoin, Ethereum, and their respective volatilities and skews. Special focus is given to ETH's recent resurgence and the overwhelming activity in BMNR, the top e-treasury name. Greg also shares insights on using option strategies around leveraged plays and how various instruments can be used to hedge and optimize trading positions. Other topics include Circle’s upcoming earnings, liquidity in products like BID O, and the potential growth of Altcoins. 01:05 Welcome to the Crypto Rundown 04:13 Bitcoin Breakdown: Market Trends and Analysis 06:17 Exploring Bitcoin Volatility and Options 19:34 Altcoin Universe: Market Cap and Trends 20:55 Top Cryptocurrencies by Market Cap 22:08 Ethereum's Resurgence and Market Sentiment 23:47 Ethereum's Market Dynamics and Future Projections 28:08 ETH Futures and Perpetuals Analysis 29:36 Hot Crypto Stocks: BMNR and Circle 37:57 Altcoin Market Overview 39:21 Upcoming Crypto IPOs and Final Thoughts…
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The Options Insider Radio Network

In this episode of Options Insider Radio Network, host Mark Longo along with co-hosts Uncle Mike Tosaw and the Rock Lobster Andrew Giovinazzi, discuss various aspects of the options market including unusual activity alerts, market analysis, and strategy overviews. They delve into specific stocks like SoundHound AI, MicroStrategy, and Palantir, and analyze call and put options on stocks like Verastem, Hudson Pacific Properties, and On Holding AG. The episode features trivia on 80s trivia and ends with Uncle Mike's Strategy Block segment discussing the advantages of a deep in the money covered call over a short put. The show also includes insights on upcoming earnings announcements and the strategies to trade them. 03:07 Welcome Back to the Show 03:27 Recap of Recent Events 04:39 80s Trivia Challenge 09:33 Trading Block: Market Analysis and Trends 25:44 ETH Treasury Milestone 26:10 Top 10 Stocks Analysis 29:37 Earnings Season Highlights 32:36 Unusual Options Activity 44:08 Strategy Block: Options Wisdom 47:42 Around the Block: Market Watch 50:21 Closing Remarks and Upcoming Shows…
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The Options Insider Radio Network

The latest episode of the Hot Options Report, hosted by Mark Longo from The Options Insider, offers in-depth analysis of the day's most active options markets for Monday, August 11th. Key insights discuss the trading activities in VIX, SPY, SPX, IWM, and the NASDAQ. The report highlights significant volumes and the most popular contracts in these products, along with notable newcomers such as BitMine Immersion Technologies. Other highlights include detailed evaluations of top single name stocks like Apple, Nvidia, Tesla, and others influencing the options market today. 01:59 Hot Options for Monday, August 11th 02:04 VIX Options Activity 02:57 SPY Options Activity 03:42 SPX Options Activity 04:33 Small Caps Options Activity 05:25 Nasdaq Options Activity 05:59 Single Name Options Activity 06:15 Top 10 Single Name Options 13:53 Conclusion and Sign-Off ------------------------------------------------------------- All investing involves risk. Brokerage services for US listed securities, options and bonds in a self-directed brokerage account are offered by Open to the Public Investing Inc, member FINRA & SIPC. Not investment advice. Options trading entails significant risk and is not appropriate for all investors. Customers must read and understand the Characteristics and Risks of Standardized Options before considering any options strategy. Options investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk, including the potential for losses that may exceed the original investment amount, and are only available for qualified customers. Index options have special features and fees that should be carefully considered, including settlement, exercise, expiration, tax, and cost characteristics. See Fee Schedule for all options trading fees. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade. Rebate rates vary monthly from $0.06-$0.18 and depend on the particular security, whether the trade was placed via API, as well as your current and prior month’s options trading volume. Review Options Rebate Terms here . Rates are subject to change. Go to public.com/optionsbrief to learn more.…
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The Options Insider Radio Network

This episode of 'This Week in Futures Options' features a detailed mid-year analysis of cross correlations between various tradable products in the futures options markets for 2025. Key correlations include NASDAQ vs. E-Mini, 10-year vs. 30-year, heating oil vs. WTI, and more. The discussion also highlights interesting correlations in the agricultural and metals sectors, as well as Bitcoin's performance and correlations. The episode aims to keep active futures options traders informed about the evolving trends and correlations in the market. 00:43 This Week in Futures Options 02:11 Mid-Year Cross Correlation Analysis 03:38 Detailed Correlation Insights 07:13 Surprising Correlation Findings 11:36 Conclusion and Sign-Off…
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The Options Insider Radio Network

1 Wide World of Options: Tales from the Road: Giving the Exchanges Their Voice 46:08
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In this final episode from our Tales from the Road series, host Mark Benzaquen is joined by Patty Schuler of BOX Options Market and Kevin Davitt from Nasdaq – two educators with a unique perspective on options. Listen in as they talk about significant industry trends, how technology is driving innovation, and the role exchanges play in educating retail investors.…
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The Options Insider Radio Network

1 The Hot Options Report: MSFT Options Spotlight 4:47
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In this episode of the Hot Options Report, listeners are provided with an in-depth spotlight on Microsoft options trading activity. The episode covers recent performance, including Microsoft's significant earnings, historical stock price movements, and notable highs and lows in options volume and implied volatility (IV). Key open positions in Microsoft's options market are highlighted, with a focus on the popular strikes for both calls and puts. 00:26 Welcome to the Hot Options Report 01:56 Spotlight on Microsoft Options 02:37 Microsoft Options Volume and Activity 03:35 Top Microsoft Options Positions 04:11 Conclusion and Upcoming Spotlights ------------------------------------------------ All investing involves risk. Brokerage services for US listed securities, options and bonds in a self-directed brokerage account are offered by Open to the Public Investing Inc, member FINRA & SIPC. Not investment advice. Options trading entails significant risk and is not appropriate for all investors. Customers must read and understand the Characteristics and Risks of Standardized Options before considering any options strategy. Options investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk, including the potential for losses that may exceed the original investment amount, and are only available for qualified customers. Index options have special features and fees that should be carefully considered, including settlement, exercise, expiration, tax, and cost characteristics. See Fee Schedule for all options trading fees. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade. Rebate rates vary monthly from $0.06-$0.18 and depend on the particular security, whether the trade was placed via API, as well as your current and prior month’s options trading volume. Review Options Rebate Terms here . Rates are subject to change. Go to public.com/optionsbrief to learn more.…
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The Options Insider Radio Network

1 Options Boot Camp 350: Crazy Premium Harvesting and Capturing Mysterious Dividends 27:31
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In this episode, hosts Mark Longo and Dan Passarelli (Market Taker Mentoring) delve into various listener-submitted questions and trading strategies. They talk about a listener's in-depth query on a put calendar trade with Johnson & Johnson and its associated risks, and another listener's covered call strategy dubbed 'Ultra Premium Harvesting.' The hosts also answer inquiries on the use case and risks involved in trading inverse volatility products like SVXY, and discuss the optimal products and strategies for trading precious metals like gold and silver. Additionally, they address a listener's request about visiting the studio and potential local meet-ups. 01:12 Welcome to Options Bootcamp 03:10 Listener Mail Call 03:57 Ben's Epic Treatise on Put Calendars 11:39 Michael K's Ultra Premium Harvesting Strategy 17:00 Exploring Inverse Volatility Products 20:21 Trading Precious Metals 23:21 Listener Annet's Chicago Visit 25:08 Conclusion and Upcoming Episodes…
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The Options Insider Radio Network

1 The Hot Options Report: PLTR Options Spotlight 4:38
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In this episode of the Hot Options Report for Wednesday, the focus is on Palantir's options activity. The report highlights Palantir's stock performance, including its recent closure at $154.25, close to its all-time high. Historical data is shared, including option volume highs and lows and significant dates. The episode also dissects the put/call indicator and volatility figures for Palantir. The open interest for various Palantir option strikes is explored, detailing the top five sizes. 00:26 Welcome to the Hot Options Report 01:40 Today's Hot Options Report: Palantir 01:57 Palantir Options Analysis 03:21 Top Open Positions in Palantir Options 04:01 Conclusion and Upcoming Episodes ------------------------------------------------- All investing involves risk. Brokerage services for US listed securities, options and bonds in a self-directed brokerage account are offered by Open to the Public Investing Inc, member FINRA & SIPC. Not investment advice. Options trading entails significant risk and is not appropriate for all investors. Customers must read and understand the Characteristics and Risks of Standardized Options before considering any options strategy. Options investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk, including the potential for losses that may exceed the original investment amount, and are only available for qualified customers. Index options have special features and fees that should be carefully considered, including settlement, exercise, expiration, tax, and cost characteristics. See Fee Schedule for all options trading fees. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade. Rebate rates vary monthly from $0.06-$0.18 and depend on the particular security, whether the trade was placed via API, as well as your current and prior month’s options trading volume. Review Options Rebate Terms here . Rates are subject to change. Go to public.com/optionsbrief to learn more.…
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1 The Hot Options Report: NVDA Options Spotlight 4:48
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This episode of the Hot Options Report focuses on the high-volume options activity surrounding Nvidia. Mark Longo details Nvidia's stock performance, mentioning the stock's recent closing at $173.75, close to its all-time high of $179.27, and key volume statistics: a high of 10.2 million contracts on January 27th and a low of 1.45 million in June. The episode ends with a rundown of the top five open positions in Nvidia options, emphasizing significant positions like the 174,000 September 160 calls. 00:26 Welcome to the Hot Options Report 01:29 Explosive Options Activity: Hot Options Report 01:55 Nvidia Options Spotlight 02:16 Nvidia Options Volume and Volatility Analysis 03:25 Top Open Positions in Nvidia Options 04:12 Conclusion and Upcoming Episodes ---------------------------------------------- All investing involves risk. Brokerage services for US listed securities, options and bonds in a self-directed brokerage account are offered by Open to the Public Investing Inc, member FINRA & SIPC. Not investment advice. Options trading entails significant risk and is not appropriate for all investors. Customers must read and understand the Characteristics and Risks of Standardized Options before considering any options strategy. Options investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk, including the potential for losses that may exceed the original investment amount, and are only available for qualified customers. Index options have special features and fees that should be carefully considered, including settlement, exercise, expiration, tax, and cost characteristics. See Fee Schedule for all options trading fees. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade. Rebate rates vary monthly from $0.06-$0.18 and depend on the particular security, whether the trade was placed via API, as well as your current and prior month’s options trading volume. Review Options Rebate Terms here . Rates are subject to change. Go to public.com/optionsbrief to learn more.…
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1 The Hot Options Report: Tesla Options Spotlight 5:36
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In this Special Options Spotlight edition of the Hot Options Report, the focus is on Tesla's eventful year in the options market. The episode revisits Tesla's price and options volume fluctuations, highlighting significant dates such as the highs and lows of stock price and options trading. Notable statistics include Tesla's highest options volume of nearly 8 million contracts on November 8th and the most considerable number of open positions, like the 120,000 June 960 calls. Additionally, the episode promotes the Public platform for cost-effective options trading. Stay tuned for daily deep dives into other popular options throughout the week. 00:26 Welcome to the Hot Options Report 01:29 Scanning the Tape: Hot Options Activity 01:40 Special Options Spotlight: Tesla 02:09 Tesla's Wild Year in Review 02:28 Tesla's Options Action and Volatility 03:49 Top Open Positions in Tesla 04:47 Conclusion and Upcoming Highlights --------------------- All investing involves risk. Brokerage services for US listed securities, options and bonds in a self-directed brokerage account are offered by Open to the Public Investing Inc, member FINRA & SIPC. Not investment advice. Options trading entails significant risk and is not appropriate for all investors. Customers must read and understand the Characteristics and Risks of Standardized Options before considering any options strategy. Options investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk, including the potential for losses that may exceed the original investment amount, and are only available for qualified customers. Index options have special features and fees that should be carefully considered, including settlement, exercise, expiration, tax, and cost characteristics. See Fee Schedule for all options trading fees. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade. Rebate rates vary monthly from $0.06-$0.18 and depend on the particular security, whether the trade was placed via API, as well as your current and prior month’s options trading volume. Review Options Rebate Terms here . Rates are subject to change. Go to public.com/optionsbrief to learn more.…
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1 The Crypto Rundown 285: Crypto Market Cap Spotlight 4:07
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In this episode of the Crypto Rundown, listeners are provided with a recap of the latest market cap rankings for major cryptocurrencies. The discussion highlights the market positions and values of digital assets including Bitcoin, Ether, Solana, Dogecoin, and others. 00:45 Welcome to the Crypto Rundown 01:57 Crypto Market Cap Recap 02:20 Top 10 Cryptocurrencies by Market Cap 03:23 Conclusion and Sign-Off…
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1 The Option Block 1396: The FlowMaster Spotlight on VIX Decomposition & More 10:49
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In this special episode of The Option Block, Henry "The FlowMaster" Schwartz discuss the recent market selloff and its impact on various sectors. He delves into factors such as rough earnings moves by Amazon and Coinbase, as well as the VIX index behavior, including a detailed analysis from a newly published white paper on VIX decomposition. Specific unusual trading activities in Bristol Myers and Momentum Holdings are also highlighted. The episode provides listeners with an in-depth look at the market dynamics, helping traders make more educated moves. The discussion includes advice on using SPX and mini S&P 500 options for better portfolio management. 00:00 Introduction and Welcome 02:37 Market Overview and Recent Developments 03:21 In-Depth Analysis of VIX and Market Movements 06:33 Odd Block Trades and Insights 09:27 Conclusion and Final Thoughts…
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This episode delves into recent volatile market activities and high-volume trading across various financial instruments. Key highlights include significant movements in the VIX, SPY, SPX, IWM, and QQQs, driven by market sell-offs, nonfarm reports, earnings releases, and tariff impacts. Detailed analysis covers trading volumes and notable trades in major indices and individual stocks such as UNH, Meta, Palantir, Robinhood, AMD, MicroStrategy, Amazon, Apple, Tesla, and Nvidia. Listeners are also introduced to Public.com, a platform offering cost-effective options trading with rebates. The episode concludes by encouraging active participation in the Options Insider community and exploring premium content available on their platform. 01:04 Welcome to the Hot Options Report 02:35 Market Recap: August 1st Sell-Off 03:37 VIX: Volatility Insights 04:32 SPY: Explosive Trading Day 05:26 SPX: High Volume Trading 06:12 IWM: Small Caps Action 06:58 QQQ: Tech Sector Highlights 07:42 Single Name Options: Earnings Impact 08:22 Top 10 Most Active Options 15:26 Conclusion and Additional Resources --------- All investing involves risk. Brokerage services for US listed securities, options and bonds in a self-directed brokerage account are offered by Open to the Public Investing Inc, member FINRA & SIPC. Not investment advice. Options trading entails significant risk and is not appropriate for all investors. Customers must read and understand the Characteristics and Risks of Standardized Options before considering any options strategy. Options investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk, including the potential for losses that may exceed the original investment amount, and are only available for qualified customers. Index options have special features and fees that should be carefully considered, including settlement, exercise, expiration, tax, and cost characteristics. See Fee Schedule for all options trading fees. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade. Rebate rates vary monthly from $0.06-$0.18 and depend on the particular security, whether the trade was placed via API, as well as your current and prior month’s options trading volume. Review Options Rebate Terms here . Rates are subject to change. Go to public.com/optionsbrief to learn more.…
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1 Volatility Views 642: Nonfarms, Tariffs and Earnings...Oh My!!! 57:50
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In this episode, Mark Longo, Russell Rhoads (Kelley School of Business - Indiana University), and Matt Amberson (Orats) analyze the significant surge in VIX, evidenced by the current VIX cash at 21 and the heavy trading volume exceeding one million contracts. They discuss how this translates to increased option activity, with substantial trades noted in August and September futures. Matt and Russell elaborate on the week's significant options trades and their implications, including a deep dive into earnings volatility with Matt noting an exceptionally hot earnings season, seeing over 50% returns on straddles. The episode also features insights into the vol ETP landscape, highlighting products like UVXY, SVXY, and VXX and their respective trading activities. Lastly, the hosts provide predictions for the next week, discussing potential market moves in the context of current volatility. 01:05 Welcome to Volatility Views 01:55 Market Overview and Recent Additions 05:28 Volatility Review 14:19 Earnings Volatility Report 21:14 Volatility Surface Analysis 30:38 Weekly Options Analysis 33:27 Analyzing Recent VIX Trades 34:41 Questionable Trade Strategies 36:06 VIX Options Activity Breakdown 43:24 Inverse Volatility and Liquidity Challenges 46:00 Volatility ETPs and Trading Strategies 50:23 Predicting VIX Movements 54:14 Conclusion and Upcoming Events…
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1 TWIFO 459: Fed Dissent Amid A Historic Move For Copper 55:58
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In the latest episode, Mark Longo alongside guest Rich Excel from Gies College of Business at the University of Illinois Urbana-Champaign delve into a comprehensive analysis of various futures options markets and they look at volatility (CVOL) in the various complexes. They start with a detailed discussion on the dramatic price movements in copper, silver, and other metals, largely influenced by recent tariff news. They also explore the FX market, emphasizing the Euro/USD dynamics and share insights from Rich Excel’s recent CME Group report on hedging currency risk. Finally, the episode concludes with a focus on interest rates, particularly reflections on the Fed's recent decisions and their impacts on two-year treasury options. 01:22 Welcome to This Week in Futures Options 05:20 Movers and Shakers Report 14:43 Exploring the Metals Market 28:18 Silver Market Analysis 30:35 Exploring FX Markets 31:19 Hedging Currency Risks 32:11 Euro USD Futures Insights 34:17 FX Options Strategies 41:17 Interest Rate Market Overview 46:06 Two-Year Treasury Notes 51:22 Upcoming Agricultural Reports 53:01 Conclusion and Resources…
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1 The Option Block 1395: Hot Earnings Action in MSFT, META, AMZN, AAPL and More 1:01:59
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In this episode of The Option Block, host Mark Longo and his all-star panel including Uncle Mike Tosaw from St. Charles Wealth Management and Henry 'The Flowmaster' Schwartz from Cboe discuss various topics related to the options market. The show covers a wide range of issues such as reactions to Microsoft and Meta's impressive earnings, interesting call buys in lesser-known stocks like Coursera and Freshworks, and detailed breakdowns of recent unusual options activity. Listener polls on trading challenges and strategical preferences are addressed while Uncle Mike and Henry share their insights on the current market environment and upcoming economic events. 03:08 Market Analysis and Trading Strategies 06:27 Earnings Reports and Market Movers 12:34 Options Trading Insights and Trends 18:45 Earnings Season Highlights 29:32 Coinbase and Market Movements 30:19 Riot and Roku Analysis 30:55 Moderna and Cboe Insights 31:25 Earnings Season Highlights 32:15 Odd Block: Unusual Options Activity 32:55 Coursera and Freshworks Trades 39:46 Bristol Myers Squibb Breakdown 46:40 Listener Mail and Poll Results 53:33 Around the Block: Market Watch…
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On this episode, we cover the notable options market activities for Thursday, July 31st. Topics include an overview of significant trading in VIX, SPY, SPX, IWM, QQQ, as well as individual stocks like Apple, Microsoft, Meta, Amazon, Tesla, and Nvidia. The show also highlights the impact of recent tech earnings and market volatility. Special mentions include the Pro Trading Crate giveaway and upcoming events for Options Insider Pro members. 01:04 Welcome to the Hot Options Report 03:01 Volatility and VIX Analysis 04:31 SPY and SPX Options Activity 05:59 Small Caps and IWM Insights 07:03 Tech Sector Highlights: QQQ, Microsoft, Meta 08:41 Single Name Options: Hood, SoFi, UNH, AMD 12:38 Earnings Impact on Options: Apple, Microsoft, Meta 16:52 Top Options Movers: Amazon, Tesla, Nvidia 19:09 Conclusion and Upcoming Content ------------------------------ All investing involves risk. Brokerage services for US listed securities, options and bonds in a self-directed brokerage account are offered by Open to the Public Investing Inc, member FINRA & SIPC. Not investment advice. Options trading entails significant risk and is not appropriate for all investors. Customers must read and understand the Characteristics and Risks of Standardized Options before considering any options strategy. Options investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk, including the potential for losses that may exceed the original investment amount, and are only available for qualified customers. Index options have special features and fees that should be carefully considered, including settlement, exercise, expiration, tax, and cost characteristics. See Fee Schedule for all options trading fees. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade. Rebate rates vary monthly from $0.06-$0.18 and depend on the particular security, whether the trade was placed via API, as well as your current and prior month’s options trading volume. Review Options Rebate Terms here . Rates are subject to change. Go to public.com/optionsbrief to learn more.…
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1 The Futures Rundown 43: Tsunamis, Dust Storms and the Fed...Oh My! 48:32
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This episode dives into the complexities of the futures market with host Mark Longo and guest Dan Gramza from Gramza Capital Management. The discussion covers various topics including the impact of Fed decisions on the markets, with particular attention to recent reactions and movements in interest rates and equities. They also explore the effects of weather events on agricultural futures such as soybean, corn, and wheat, particularly in light of a dust storm in the Midwest. Additionally, the episode touches on the performance of energy sectors like crude oil, the notable gains and declines of precious metals and cryptocurrencies over the year, and the intricacies of long-term tracking of futures prices. The show concludes with listener questions on earthquake and tsunami impacts on ag markets, showcasing the community's engagement. 01:07 Exploring the Futures Markets 03:15 Market Analysis with Dan Grama 04:02 Trading Pit Insights 04:19 Fed Day Market Reactions 07:40 Commodity Market Movements 09:01 Top Movers and Shakers 23:45 Year-to-Date Market Analysis 24:39 Biggest Losers of the Year 25:14 Soybean Meal and Other Declines 27:05 Top Movers of the Year 28:35 The Controversy of Ether's Performance 34:17 Futures Free-for-All Q&A 37:02 Impact of Weather on Agriculture 42:26 Global Agricultural Market Dynamics 43:53 Wrapping Up and Listener Appreciation…
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1 Options Boot Camp 349: Forget 0DTE...Let's Talk About L.E.A.P.S!!! 28:44
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This episode dives deep into Long-Term Equity Anticipation Securities (LEAPS) and their strategic use, particularly in stock substitution strategies. Hosts Mark Longo and Dan Passarelli (Market Taker Mentoring) discuss the fundamental aspects of LEAPS, focusing on their sensitivity to volatility (Vega) rather than gamma, and explain how they can offer a more capital-efficient alternative to outright stock purchases. They elaborate on different strategies, such as using LEAPS for a synthetic covered call, or 'poor man's covered call,' to reduce the overall cost and risk. Additionally, they highlight the need for diligent management of these trades to avoid unwanted outcomes, like forced exercise of the option. 01:04 Welcome to Options Bootcamp 04:15 Basic Training: Learning Options Trading 07:52 Discussing Leaps: Long-Term Equity Anticipation Securities 16:57 Stock Substitution Strategy with Leaps 22:48 Poor Man's Covered Call Strategy 26:15 Conclusion and Next Steps…
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In this episode, key highlights include increased activity in VIX options, SPY options nearing their average daily volume, and notable trades in small caps (IWM) and Nasdaq (QQQ). The episode wraps up with in-depth analysis of individual stocks such as Microsoft, Meta, and Nvidia, examining their options activity amidst ongoing earnings announcements. 01:04 Welcome to The Hot Options Report 02:41 VIX Options Activity 03:50 SPY Options Highlights 04:24 S&P 500 (The SPX) Options Insights 05:06 Small Caps (IWM) Options Overview 05:40 NASDAQ (The Qs) Options Summary 06:06 Single Name Equity Options 14:17 Conclusion -------------------------------------------------------- All investing involves risk. Brokerage services for US listed securities, options and bonds in a self-directed brokerage account are offered by Open to the Public Investing Inc, member FINRA & SIPC. Not investment advice. Options trading entails significant risk and is not appropriate for all investors. Customers must read and understand the Characteristics and Risks of Standardized Options before considering any options strategy. Options investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk, including the potential for losses that may exceed the original investment amount, and are only available for qualified customers. Index options have special features and fees that should be carefully considered, including settlement, exercise, expiration, tax, and cost characteristics. See Fee Schedule for all options trading fees. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade. Rebate rates vary monthly from $0.06-$0.18 and depend on the particular security, whether the trade was placed via API, as well as your current and prior month’s options trading volume. Review Options Rebate Terms here . Rates are subject to change. Go to public.com/optionsbrief to learn more.…
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The Options Insider Radio Network

In this episode of the Hot Options Report, Mark Longo dives into the latest trends and unusual activities in the options market as of Tuesday, July 29th. Key discussions include significant volume spikes in VIX options with over a million contracts, a detailed breakdown of active trades in SPY, S&P 500, small caps, and NASDAQ, and unusual large-volume trades in specific equities like Palantir, Alphabet, Apple, SoFi, Tesla, AMD, and Nvidia. Additionally, the episode spotlights some curious trades in United Health, including a notable 28,000 contracts of the January 2027 500 calls. 01:05 Welcome to the Hot Options Report 01:43 Today's Market Overview 02:44 VIX Options Activity 04:30 SPY and S&P 500 Options Insights 05:46 Small Caps and QQQs Analysis 07:01 Single Name Equity Options Highlights 07:16 Top 10 Options Movers 15:18 Conclusion -------------------------------- All investing involves risk. Brokerage services for US listed securities, options and bonds in a self-directed brokerage account are offered by Open to the Public Investing Inc, member FINRA & SIPC. Not investment advice. Options trading entails significant risk and is not appropriate for all investors. Customers must read and understand the Characteristics and Risks of Standardized Options before considering any options strategy. Options investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk, including the potential for losses that may exceed the original investment amount, and are only available for qualified customers. Index options have special features and fees that should be carefully considered, including settlement, exercise, expiration, tax, and cost characteristics. See Fee Schedule for all options trading fees. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade. Rebate rates vary monthly from $0.06-$0.18 and depend on the particular security, whether the trade was placed via API, as well as your current and prior month’s options trading volume. Review Options Rebate Terms here . Rates are subject to change. Go to public.com/optionsbrief to learn more.…
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1 The Crypto Rundown 284: Buying Pizza on PayPal with Pudgy Penguins 37:46
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In this episode, host Mark Longo dives into the dynamic world of crypto derivatives, focusing on Bitcoin, Ethereum, and other altcoins. Joined by Bill Uliveri from Cenacle Capital Management, they discuss market trends, recent developments, and trading strategies. Key highlights include PayPal's enabling of Bitcoin payments, Ethereum's impressive resurgence, the evolving market cap rankings with XRP overtaking Tether, and Bill’s investment strategies using cash-secured puts in IBIT and Circle. The episode also touches on the exciting prospects for altcoins like Solana and Sui, while providing insights into the current state of volatility and skew in major crypto assets. The session concludes with listener questions and a look at the latest trends in the VIX and other intriguing trade opportunities. 01:05 Welcome to the Crypto Rundown 04:06 Bitcoin Breakdown 05:20 PayPal's Cryptocurrency Integration 06:26 Bitcoin Market Analysis 08:30 Volatility and Skew in Crypto Markets 17:47 Altcoin Universe 19:16 Top Cryptocurrencies by Market Cap 20:00 Ethereum's Resurgence 22:07 Wall Street's Influence on Crypto 24:42 Crypto Market Trends and Predictions 29:32 Listener Questions and Insights 29:59 Weekly Straddle Choices 32:58 Show Wrap-Up and Final Thoughts…
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This episode of The Hot Options Report provides a comprehensive analysis of the most active options in the market. Key highlights include insights into VIX options with 25,000 of the August 18 puts traded, SPY options with 728,000 of the 638 calls, and QQQ options with 372,000 of the 568 calls. Discussions also cover notable options activity in individual stocks such as Amazon, Alphabet, Open, SoFi, Intel, Palantir, SMCI, AMD, Nvidia, and Tesla. The episode emphasizes the significance of options volume, the role of external events such as earnings, and market trends impacting these trades. 01:04 Welcome to the Hot Options Report 02:29 Exploring VIX Options Activity 03:48 SPY Options Insights 05:21 Small Caps and NASDAQ Highlights 07:14 Top 10 Options Movers 14:56 Conclusion and Stay Tuned --------------------------- All investing involves risk. Brokerage services for US listed securities, options and bonds in a self-directed brokerage account are offered by Open to the Public Investing Inc, member FINRA & SIPC. Not investment advice. Options trading entails significant risk and is not appropriate for all investors. Customers must read and understand the Characteristics and Risks of Standardized Options before considering any options strategy. Options investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk, including the potential for losses that may exceed the original investment amount, and are only available for qualified customers. Index options have special features and fees that should be carefully considered, including settlement, exercise, expiration, tax, and cost characteristics. See Fee Schedule for all options trading fees. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade. Rebate rates vary monthly from $0.06-$0.18 and depend on the particular security, whether the trade was placed via API, as well as your current and prior month’s options trading volume. Review Options Rebate Terms here . Rates are subject to change. Go to public.com/optionsbrief to learn more.…
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1 The Option Block 1394: Playing Cribbage and Slinging Options 57:29
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In this episode, host Mark Longo along with his co-hosts Andrew "The Rock Lobster" Giovinazzi (The Option Pit) and "Uncle" Mike Tosaw (St. Charles Wealth Management) dive into the latest trends and activity in the options market. The hosts analyze feedback from their audience on recent trades and trends, including an in-depth look at options activity for names like MicroStrategy, Alphabet, Amazon, and more. They also examine recent earnings reports and make future predictions. The Odd Block segment features a deep dive into unusual options activity, focusing on specific trades like the Aug six puts in Itau Unibanco Holding SA. In the Strategy Block, Uncle Mike provides essential tips on safeguarding financial information against potential breaches. The episode concludes with a preview of key events and market movements to watch for the rest of the week. 01:56 Kicking Off the Week with Options Talk 02:15 Hot Options Report and Pro Trading 03:47 80s Trivia Challenge 06:59 Market Analysis and Trading Block 08:35 Remembering Hulk Hogan 11:22 Big Tech Earnings and Market Trends 16:48 Volume and Trading Activity 27:51 Tesla's Earnings and Market Reaction 29:44 Upcoming Earnings Reports 31:00 Boeing and SoFi Earnings Preview 32:03 EA and Other Tech Earnings 34:57 Options Activity Analysis 44:38 Security Measures for Financial Accounts 48:51 Around the Block: Market Watch…
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In this episode, the discussion focuses on the week's dominant options activities up to Friday, July 25th. The episode highlights notable low activity in VIX options due to seasonal quiet periods, other notable stock activities including SPY, IWM, Nasdaq, and several individual stocks like Robinhood, Alphabet, Apple, AMD, and Nvidia. Furthermore, there's an emphasis on Tesla's return to high trading volumes with over 5.5 million contracts. 01:04 Welcome to the Hot Options Report 01:44 Exploring Today's Options Market 02:41 Volatility and VIX Options Analysis 03:59 SPY and SPX Options Activity 05:30 Small Caps and NASDAQ Insights 06:50 Single Name Equity Options Highlights 08:04 Top Options Movers of the Day 14:24 Conclusion and Listener Engagement ----------------------------------------------------- All investing involves risk. Brokerage services for US listed securities, options and bonds in a self-directed brokerage account are offered by Open to the Public Investing Inc, member FINRA & SIPC. Not investment advice. Options trading entails significant risk and is not appropriate for all investors. Customers must read and understand the Characteristics and Risks of Standardized Options before considering any options strategy. Options investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk, including the potential for losses that may exceed the original investment amount, and are only available for qualified customers. Index options have special features and fees that should be carefully considered, including settlement, exercise, expiration, tax, and cost characteristics. See Fee Schedule for all options trading fees. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade. Rebate rates vary monthly from $0.06-$0.18 and depend on the particular security, whether the trade was placed via API, as well as your current and prior month’s options trading volume. Review Options Rebate Terms here . Rates are subject to change. Go to public.com/optionsbrief to learn more.…
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1 Volatility Views 641: Vol Dies With A Whimper 1:01:51
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The latest episode of Volatility Views covers a wide range of volatility trading topics with Mark Longo and Russell Rhoads. The show covers the term structure of VIX futures, recent trades in VIX options, and the seasonality of volatility, especially as it relates to earnings season and its impact on the markets. Key trades in VIX options from the week are highlighted and analyzed. Additionally, the episode features listener questions, including strategies for trading VIX calls and dealing with the challenge of finding favorable trading conditions. The show concludes with predictions for VIX prices in the coming week. 01:08 Welcome to Volatility Views 04:59 Market Overview and Volatility Trends 11:39 Earnings Season Insights 15:44 VIX Futures and Options Analysis 25:52 Russell's Weekly Rundown 33:47 VIX Options Tsunami 34:03 Hot Options of the Day 34:24 Jan 20 Threes Analysis 36:23 AUG 16 Puts and Ratio Spreads 41:12 Inverse Volatility Products 45:01 Volatility Voicemail 45:47 Listener Questions and Flash Polls 54:28 Crystal Ball Predictions 57:14 Show Wrap-Up and Announcements…
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1 TWIFO 458: Shockingly Flat Skew in the Widow Maker 56:10
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This episode of 'This Week in Futures Options' on the Options Insider Radio Network covers extensive details on various active commodities in the futures options market. The discussion begins with a breakdown of Nat Gas, analyzing its significant drop towards the three-handle and the activity around three puts and four calls. WTI's consistent trading around the 65 level and the potential implications are explored. Copper's tariff-driven surge and related options activity, including various put spreads, are examined. The show also touches on the behavior of Nasdaq during earning season and the rise of zero-day options in the futures market. Hosted by Mark Longo, with insights from Russell Rhoads, the episode dives into market sentiment, trading strategies, and key economic indicators shaping the futures options landscape. 02:41 Show Kickoff and New Network Edition 03:58 Guest Introduction: Russell Rhoads 04:50 Discussion on Retail vs. Institutional Trading 06:19 Movers and Shakers Report 11:56 Volatility Analysis 15:56 Energy Market Insights 26:00 Crude Oil Market Analysis 26:53 WTI and Nat Gas Volatility 27:26 Key Levels in Crude Oil 29:32 Put Options Activity in Crude 32:18 Copper Market Insights 42:01 Equity Indices During Earnings Season 48:16 Zero-Day Options and Market Sentiment 49:17 Concluding Thoughts and Listener Interaction…
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The Options Insider Radio Network

This episode of the Hot Options Report provides an in-depth review of the day's top options trading activity. The show highlights significant market activity for VIX, SPY, SPX, small caps, and NASDAQ. Listeners are informed about the most active options, including notable zero-day options and end-of-day summaries for various high-profile stocks such as Apple, Amazon, Intel, NVIDIA, and Tesla. Additionally, the episode discusses the surrounding market context, including earnings reports and ex-dividend movements driving volume in specific equities. This episode is sponsored by Public.com, emphasizing their cost-effective trading options. 01:05 Welcome to the Hot Options Report 02:32 Market Analysis: VIX Options 03:11 Market Analysis: SPY Options 04:07 Market Analysis: SPX Options 04:58 Market Analysis: Small Caps 05:38 Market Analysis: NASDAQ Options 06:17 Top 10 Equity Options of the Day 13:08 Conclusion and Final Thoughts --------------------------------- All investing involves risk. Brokerage services for US listed securities, options and bonds in a self-directed brokerage account are offered by Open to the Public Investing Inc, member FINRA & SIPC. Not investment advice. Options trading entails significant risk and is not appropriate for all investors. Customers must read and understand the Characteristics and Risks of Standardized Options before considering any options strategy. Options investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk, including the potential for losses that may exceed the original investment amount, and are only available for qualified customers. Index options have special features and fees that should be carefully considered, including settlement, exercise, expiration, tax, and cost characteristics. See Fee Schedule for all options trading fees. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade. Rebate rates vary monthly from $0.06-$0.18 and depend on the particular security, whether the trade was placed via API, as well as your current and prior month’s options trading volume. Review Options Rebate Terms here . Rates are subject to change. Go to public.com/optionsbrief to learn more.…
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The Options Insider Radio Network

1 The Option Block 1393: Trade Options and Eat Your Vitamins 59:20
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In this episode of The Option Block, host Mark Longo and his co-hosts Henry Schwartz (Cboe Global Markets) and Mike Tosaw (St. Charles Wealth Management) discuss the latest trends in the options market, including a surprising dip in VIX to a 14 handle and a spike in Mara. The team also delves into unusual activity in the stocks like Bloom Energy (BE) and Opendoor Technologies (OPEN), which has experienced significant volatility. Subsequent discussions include how various economic indicators and sectors like technology and industrials are performing. The episode also features tributes to the recently deceased Hulk Hogan, marking the iconic wrestler's impact on pop culture. 01:18 Meet the Hosts and Co-Hosts 03:15 Show Kickoff and Recent Additions 05:11 Special Segment: Remembering Hulk Hogan 10:25 Market Analysis and Trading Block 28:19 The Saga of OPEN Stock 29:32 Alphabet and Nvidia Updates 29:57 Tesla's Earnings and EV Market 30:42 Earnings Highlights: American Airlines, Nokia, and More 33:50 Unusual Options Activity: The Odd Block 39:15 Bloom Energy's Resurgence 43:17 Airlines in Focus: American Airlines 47:28 Wendy's and Market Trends 49:11 Audience Polls and Market Insights 54:38 Concluding Remarks and Upcoming Shows…
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The Options Insider Radio Network

1 The Futures Rundown 42: Is ETH the Comeback Story Of the Year? 46:12
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In this episode of 'The Futures Rundown,' listeners are introduced to various insights and trends in the futures markets. The show covers the recent trends in the futures market, touching on key products like metals, agricultural commodities, and cryptocurrencies. Key highlights include silver's strong performance, a deep dive into Ethereum's remarkable turnaround, and discussions around the Commitment of Traders (COT) report. Additionally, there are segments where the hosts provide tips for beginners entering futures markets, with specific advice on trading strategies and capital requirements for different futures products. The episode features special guest Morad Askar from EdgeClear, who shares his expertise on futures trading and risk management. 01:27 Introducing the Futures Rundown 04:13 Guest Introduction: Morad Askar from EdgeClear 06:25 Market Analysis: Upside Movers 13:25 Market Analysis: Downside Movers 16:01 Top 10 Most Active Futures Contracts 21:49 Impact of Current Administration on Industry 22:20 Deflationary Trends in Commodities 23:13 Top Performing Metals of the Year 26:32 Futures Free for All: Listener Q&A 27:33 Tips for Futures Spread Trading 29:42 Getting Started in FX Trading 34:43 Understanding the COT Report 38:21 Capital Requirements for Futures Trading 43:04 Conclusion and Upcoming Episodes…
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The Options Insider Radio Network

1 Options Boot Camp 348: Meme Stock Revival and the Princes of Options Darkness 39:26
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In this episode of Options Boot Camp, Mark Longo and Dan Passarelli dive into a myriad of topics regarding options trading. They discuss educational resources available from the Options Insider Radio Network, followed by insights into current options market phenomena including meme stocks, a focus on Palantir and Circle options, and the risks and rewards of specific strategies like spreads and selling premium. They analyze listener questions on challenges facing options traders, including liquidity issues and execution problems. The episode wraps up with a tribute to Ozzy Osbourne, exploring his influence on music and the recent surge in pop culture relevance. 01:04 Welcome to Options Boot Camp 03:31 Listener Mail Call 04:51 Market Trends and Analysis 06:02 Meme Stocks and Short Squeezes 09:06 Crypto Market Insights 11:15 Options Trading Challenges 21:11 Audience Insights and Trading Preferences 21:43 The Case for Debit Spreads 23:24 Circle's Puts: Too Good to Be True? 28:49 Open: The Hot Meme Stock 31:45 Remembering Ozzy Osbourne 36:39 Upcoming Events and Final Thoughts…
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The Options Insider Radio Network

In this episode of the Hot Options Report, listeners receive a comprehensive breakdown of the day’s most active options markets. The show covers key metrics and trading activity for VIX, SPY, SPX, IWM, and NASDAQ, highlighting the most notable contracts and market moves. The report also details the top 10 most active equity options, including MicroStrategy, Palantir, HIMS, AMD, Apple, Alphabet Class A, MARA, OPEN, Tesla, and Nvidia, with insights into their trading volumes and standout options activity. 01:05 Welcome to the Hot Options Report 01:28 Public: The Cost-Effective Way to Trade Options 02:13 Hot Options Report: VIX Analysis 02:52 Hot Options Report: SPY Analysis 04:17 Hot Options Report: SPX and IWM Analysis 05:26 Hot Options Report: NASDAQ and Top Equity Options 06:11 Top 10 Most Active Equity Options 14:31 Conclusion and Upcoming Content ------------ All investing involves risk. Brokerage services for US listed securities, options and bonds in a self-directed brokerage account are offered by Open to the Public Investing Inc, member FINRA & SIPC. Not investment advice. Options trading entails significant risk and is not appropriate for all investors. Customers must read and understand the Characteristics and Risks of Standardized Options before considering any options strategy. Options investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk, including the potential for losses that may exceed the original investment amount, and are only available for qualified customers. Index options have special features and fees that should be carefully considered, including settlement, exercise, expiration, tax, and cost characteristics. See Fee Schedule for all options trading fees. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade. Rebate rates vary monthly from $0.06-$0.18 and depend on the particular security, whether the trade was placed via API, as well as your current and prior month’s options trading volume. Review Options Rebate Terms here . Rates are subject to change. Go to public.com/optionsbrief to learn more.…
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The Options Insider Radio Network

1 The European Market Brief 6: Navigating Europe's Crypto Landscape 1:07:01
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In episode six of the European Market Brief, host Mark Longo is joined by guests Russell Rhoads (Indiana University), Nicolae Raulet (Eurex), Shawn Creighton (FTSE Russell), and Sandra Brekalo (Crypto Finance) to discuss the latest trends in the European derivatives and crypto markets. The episode covers the rise of crypto futures and options, institutional interest in crypto, recent price movements in Bitcoin and Ethereum, regulatory developments in the US and Europe, as well as the impact of AI on the crypto space. The hosts also dive into listener questions about staking rewards for Ethereum and share bold predictions for the future of the market. 01:22 Welcome to the European Market Brief 03:40 Meet the Guests 07:50 Diving into Crypto 09:00 Crypto Product Offerings at Eurex 14:17 FTSE Russell's Role in Crypto Benchmarks 19:07 The Evolution of Crypto Futures and Options 22:05 Current Trends in the Crypto Market 30:23 Institutional Demand for Crypto 35:03 Customer-Driven Exchange and Product Development 35:46 Institutional Demand and Crypto Market Dynamics 37:09 Indexing and Bite-Sized Products 38:53 Regulatory Uncertainty and Institutional Adoption 39:42 Evolution of Crypto Assets and Market Trends 44:02 Regulatory Developments in Europe and the US 49:09 Future Outlook and Bold Predictions 56:07 Listener Questions and Staking Rewards 59:01 Closing Remarks and Resources…
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The Options Insider Radio Network

In this episode of the Hot Options Report, listeners are provided an in-depth analysis of the fast-moving options market. The report covers various key performance metrics for leading options including VIX, SPY, SPX, IWM, and NASDAQ. For each, it discusses the trading volume and highlights the most active options contracts of the day. Noteworthy mentions include VIX's August 16 puts, SPY's 6/27 puts, and the NASDAQ's 561 calls. Additionally, it details the top 10 most active equity options: Robinhood, Lucid, Alphabet Class A, Palantir, Neo, AMD, Apple, Tesla, OPEN, and Nvidia, discussing the day's trading volumes and the hot options for each. 01:05 Welcome to the Hot Options Report 01:46 Public: The Cost-Effective Way to Trade Options 02:30 Hot Options Report: VIX and SPY Analysis 04:04 Hot Options Report: SPX and IWM Analysis 05:22 Hot Options Report: NASDAQ and Top Equity Options 05:58 Top 10 Most Active Equity Options 11:26 Conclusion and Upcoming Content ------------------------------------- All investing involves risk. Brokerage services for US listed securities, options and bonds in a self-directed brokerage account are offered by Open to the Public Investing Inc, member FINRA & SIPC. Not investment advice. Options trading entails significant risk and is not appropriate for all investors. Customers must read and understand the Characteristics and Risks of Standardized Options before considering any options strategy. Options investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk, including the potential for losses that may exceed the original investment amount, and are only available for qualified customers. Index options have special features and fees that should be carefully considered, including settlement, exercise, expiration, tax, and cost characteristics. See Fee Schedule for all options trading fees. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade. Rebate rates vary monthly from $0.06-$0.18 and depend on the particular security, whether the trade was placed via API, as well as your current and prior month’s options trading volume. Review Options Rebate Terms here . Rates are subject to change. Go to public.com/optionsbrief to learn more.…
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