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://player.fm/legal.
Player FM - Podcast App
Go offline with the Player FM app!
Go offline with the Player FM app!
Podcasts Worth a Listen
SPONSORED
T
The Vanished


1 Lost on Route 66: The Disappearance of Diana Hayes 6:47
6:47
Play Later
Play Later
Lists
Like
Liked6:47
Was she the victim of foul play, an accident, or did she choose to disappear? In this episode of The Vanished, we retrace Diana’s last known movements, strange witness accounts, and the lingering mystery that has never been solved or.. was never meant to be solved.
The Option Block 1363: Secret Cabals, Monsters and the Gamma of Vega
Manage episode 472506686 series 1295531
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://player.fm/legal.
In this episode, Mark Longo, Henry Schwartz from Cboe, and Mike Tosaw from St. Charles Wealth Management discuss the latest trends and activities in the options market. Highlights include a rundown of volume and activity in VIX, SPY, SPX, RUT, and QQQ, as well as specific stocks like BABA, AMD, META, TESLA, and NVIDIA. The episode also dives into unusual call buying activity in SNAP, options trading in the new CBOE Mini Bitcoin ETF Index (MBTX), and updates on recent trades in Southwest Airlines (LUV). Additionally, a listener's question about SPX calendars and the behavior of VIX is addressed, offering educational insight into the complexities of volatility trading. The show concludes with a look at what the hosts will be monitoring in the coming days. 03:18 Market Analysis and Recent Trends 06:05 Trading Block: Latest Topics and Trades 09:01 Market Reactions and Volatility 23:27 Single Stock Highlights 31:29 Earnings Reports: Nike and FedEx 32:22 Micron and GameStop: Upcoming Highlights 32:38 Micron's Market Moves 33:17 The Odd Block: Unusual Options Activity 33:58 Snap Inc: Social Media or Tech? 38:42 Crypto Corner: Cboe Mini Bitcoin ETF 43:11 Southwest Airlines: Upside in Love 45:46 VIX Super Stupid: A Risky Bet 46:31 Mail Block: Listener Questions 54:31 Around the Block: Market Watch
…
continue reading
2997 episodes
Manage episode 472506686 series 1295531
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://player.fm/legal.
In this episode, Mark Longo, Henry Schwartz from Cboe, and Mike Tosaw from St. Charles Wealth Management discuss the latest trends and activities in the options market. Highlights include a rundown of volume and activity in VIX, SPY, SPX, RUT, and QQQ, as well as specific stocks like BABA, AMD, META, TESLA, and NVIDIA. The episode also dives into unusual call buying activity in SNAP, options trading in the new CBOE Mini Bitcoin ETF Index (MBTX), and updates on recent trades in Southwest Airlines (LUV). Additionally, a listener's question about SPX calendars and the behavior of VIX is addressed, offering educational insight into the complexities of volatility trading. The show concludes with a look at what the hosts will be monitoring in the coming days. 03:18 Market Analysis and Recent Trends 06:05 Trading Block: Latest Topics and Trades 09:01 Market Reactions and Volatility 23:27 Single Stock Highlights 31:29 Earnings Reports: Nike and FedEx 32:22 Micron and GameStop: Upcoming Highlights 32:38 Micron's Market Moves 33:17 The Odd Block: Unusual Options Activity 33:58 Snap Inc: Social Media or Tech? 38:42 Crypto Corner: Cboe Mini Bitcoin ETF 43:11 Southwest Airlines: Upside in Love 45:46 VIX Super Stupid: A Risky Bet 46:31 Mail Block: Listener Questions 54:31 Around the Block: Market Watch
…
continue reading
2997 episodes
كل الحلقات
×
1 Volatility Views 625: The Quick and the Dead 1:00:48
1:00:48
Play Later
Play Later
Lists
Like
Liked1:00:48
In this episode of Volatility Views, host Mark Longo is joined by Russell Rhodes, aka Dr. Vix, and Andrew Giovinazzi, aka The Rock Lobster. They dive into a wide range of topics related to volatility trading. The episode covers the current flat volatility curve, its implications, and the challenges and strategies for trading in such an environment. The team also discusses recent activity and trade ideas in VIX options, including unique trades like a short put stupid. Additionally, they touch on the new entrants in the inverse volatility product space. The episode closes with bold predictions for the upcoming week’s volatility. 01:54 Meet the Hosts 04:21 Volatility Review 05:22 Market Analysis and Insights 09:25 VIX Curve and Trading Strategies 12:07 Challenges in the Current Volatility Market 24:20 Flat VIX Curve Implications 33:59 Analyzing the VIX Super Stupid Trade 35:01 Russell's Weekly Rundown 35:24 Intriguing VIX Weekly Options 36:12 Strange VIX Put Stupid Trade 38:17 VIX Market Activity Recap 46:35 New Inverse VIX Product Launch 54:22 Crystal Ball Predictions…

1 TWIFO 442: Equities, Energy and a Taste of Crypto 57:31
57:31
Play Later
Play Later
Lists
Like
Liked57:31
This episode of 'This Week in Futures Options' features Mark Longo and guest Dan Gramza from Gramza Capital Management. The discussion covers a variety of futures options markets, including equities, crude oil, and crypto. Key highlights include an in-depth analysis of the E-mini S&P 500 trades, the current market sentiment, and the put options trend in crude oil. Listeners are also introduced to CME Group's new Solana futures and Dan Gramza provides insights into market behaviors and expectations. 02:41 Show Kickoff and Market Overview 03:32 Guest Introduction: Dan Gramza 04:32 Movers and Shakers Report 08:27 Exploring CVAL and Market Volatility 12:15 Equity Market Analysis 28:20 Consumer Sentiment and Economic Indicators 29:00 Real Estate Market Dynamics 29:35 Market Predictions for the S&P 31:13 Energy Sector Insights 32:33 Crude Oil Market Analysis 35:37 Global Oil Production and Trade 48:45 Crypto Market Developments 52:00 Conclusion and Resources…

1 The Option Block 1363: Secret Cabals, Monsters and the Gamma of Vega 1:01:09
1:01:09
Play Later
Play Later
Lists
Like
Liked1:01:09
In this episode, Mark Longo, Henry Schwartz from Cboe, and Mike Tosaw from St. Charles Wealth Management discuss the latest trends and activities in the options market. Highlights include a rundown of volume and activity in VIX, SPY, SPX, RUT, and QQQ, as well as specific stocks like BABA, AMD, META, TESLA, and NVIDIA. The episode also dives into unusual call buying activity in SNAP, options trading in the new CBOE Mini Bitcoin ETF Index (MBTX), and updates on recent trades in Southwest Airlines (LUV). Additionally, a listener's question about SPX calendars and the behavior of VIX is addressed, offering educational insight into the complexities of volatility trading. The show concludes with a look at what the hosts will be monitoring in the coming days. 03:18 Market Analysis and Recent Trends 06:05 Trading Block: Latest Topics and Trades 09:01 Market Reactions and Volatility 23:27 Single Stock Highlights 31:29 Earnings Reports: Nike and FedEx 32:22 Micron and GameStop: Upcoming Highlights 32:38 Micron's Market Moves 33:17 The Odd Block: Unusual Options Activity 33:58 Snap Inc: Social Media or Tech? 38:42 Crypto Corner: Cboe Mini Bitcoin ETF 43:11 Southwest Airlines: Upside in Love 45:46 VIX Super Stupid: A Risky Bet 46:31 Mail Block: Listener Questions 54:31 Around the Block: Market Watch…

1 The Futures Rundown 26: Riding the Solana Wave: A New Era of Futures 44:07
44:07
Play Later
Play Later
Lists
Like
Liked44:07
In this episode, host Mark Longo and co-host Carly Garner (DeCarley Trading) discuss the latest updates in the futures markets, including the introduction of new CME Solana Futures contracts. They cover the most active futures contracts of the week, highlight significant year-to-date movers such as gold and natural gas, and analyze trading activity in various sectors including metals, agriculture, and energy. They also touch on macroeconomic factors impacting futures trading, particularly the effects of Federal Reserve announcements on market dynamics. Additionally, listener questions about trading volumes and strategies are addressed. 04:03 Market Movements and Trading Insights 04:24 Diving into the Trading Pit 06:58 Analyzing Top Futures Trading Activity 09:48 Economic Developments and Market Reactions 18:58 Year-to-Date Movers and Trends 22:16 Market Performance Recap 22:53 Solana Futures Market Update 23:22 Orange Juice Market Analysis 24:37 New Futures Product: Solana 25:01 Solana Futures Contract Specifications 26:06 Initial Reactions to Solana Futures 32:22 Trading Volume and Market Sentiment 36:01 Futures Free For All: Q&A 41:40 Closing Thoughts and Upcoming Events…

1 Options Boot Camp 330: Falling to the Dark Side of Futures Options 42:59
42:59
Play Later
Play Later
Lists
Like
Liked42:59
In this episode of Options Bootcamp, host Mark Longo, alongside Dan Passarelli from Market Taker Mentoring and Katie McGarrigle from TastyTrade, dive deep into the world of futures options trading. They discuss the nuances of futures versus equity options, identifying key differences such as expirations and unique skews. Various starter strategies and products are outlined, emphasizing defined-risk approaches for newcomers. The episode also highlights listener insights on the BTFD strategy and the interest in 24-hour trading. Additionally, Katie and Dan provide updates on their platforms and new endeavors, including Dan's upcoming book and podcast. 00:00 Welcome to Options Insider Radio Network 03:40 Meet the Hosts: Mark Longo, Dan Passarelli, and Katie McGarrigle 05:52 Diving into Futures Options 07:55 Challenges and Strategies in Futures Options 14:41 The Evolution of Trading Platforms 19:06 Exploring Skew in Futures Options 21:48 Nuances of Trading: Research and Preparation 22:03 Starter Products for New Traders 22:34 Equity Index Futures and Beyond 25:52 Starter Strategies for Futures Options 29:42 Listener Mail Call: Your Questions Answered 31:30 Market Taker Question of the Week 31:48 New Book Announcement and Podcast 33:26 Poll Results and Audience Insights 37:55 Final Thoughts and Upcoming Shows…
This episode of the Crypto Rundown explores the latest trends, activities, and developments in the crypto derivatives markets. Hosted by Mark Longo and featuring guest Greg Magadini, Director of Derivatives at Amber Data, the show covers a broad spectrum of topics including the ongoing volatility in key cryptocurrencies like Bitcoin and Ethereum, the growing interest and trading volumes in IBIT, and the launch of Solana futures by CME. The discussion also delves into the opportunities present in Bitcoin and Ethereum skews, risk reversals, and trading strategies, while highlighting the recent performance of various altcoins. Key insights are shared about the potential future trends and the intriguing 'wildcards' within the crypto market, such as Solana. The show also offers resources for accessing comprehensive market data through Amberdata's free newsletter, enhancing the listeners' ability to navigate and leverage the evolving crypto ecosystem. 01:24 Welcome to the Crypto Rundown 03:57 Special Guest: Greg Magadini from Amberdata 04:44 Bitcoin Breakdown: Market Trends and Analysis 09:42 Exploring Bitcoin Volatility and Skew 15:51 iBit: The Rising Star in Crypto Options 24:13 Exploring MSTU: A Degenerate Product 26:43 Diving into the Altcoin Universe 28:58 ETH's Struggles and Market Trends 35:27 Solana's Wild Ride 38:15 Altcoin Market Overview 42:58 Concluding Thoughts and Future Insights…

1 The Option Block 1362: Amen to the Options Market 58:24
58:24
Play Later
Play Later
Lists
Like
Liked58:24
In this episode, host Mark Longo is back in the Chicago studio after attending the Futures Industry Association conference. The team, including Uncle Mike Tosaw and Andrew Giovinazzi, discuss the mixed market activity and the upcoming Fed meeting, where a rate pause is highly anticipated. The show delves into unusual options activities, focusing on large trades in Vodafone and HUYA. Uncle Mike provides insights on active versus passive hedging strategies, and the episode concludes with 'Around the Block' highlighting what to watch for the rest of the trading week. The listeners are also engaged through a poll on whether to buy or sell Vodafone calls. 01:59 Mark Longo's Return and FIA Insights 03:45 80's Trivia Challenge 07:19 Market Analysis and Trading Block 10:01 Uncle Mike's Market Observations 16:53 Rock Lobster's Market Insights 27:25 VIX and SPY Trading Activity 30:19 Market Overview: Small Caps and QQQ 30:59 Single Names: Top Ten Contracts 31:36 Spotlight on Quantum Straddles 33:34 Amazon and Palantir Performance 34:52 Alibaba and AMD Insights 35:47 Apple and Intel Analysis 37:08 Tesla and NVIDIA Trends 37:49 Odd Block: Unusual Options Activity 49:11 Strategy Block: Hedging Techniques 53:01 Around the Block: Market Watch 55:39 Conclusion and Upcoming Content…

1 Volatility Views 624: The Volatility Vortex of Tariffs, Hantavirus, Posh Spice and the Number of the Beast 1:06:25
1:06:25
Play Later
Play Later
Lists
Like
Liked1:06:25
This episode of Volatility Views dives into the current state of the volatility market, with insights from hosts Mark Longo, Mark Sebastian, and Russell Rhodes. The discussion includes the latest developments in volatility products such as VIX futures, VOLI, VVIX, UVIX, SVIX, and UVXY, highlighting notable market activities and trends. The panel discusses the tariffs impact on the markets, and also includes some talk about the hantavirus and the Spice Girls, particularly Posh Spice. The show concludes with the Crystal Ball segment, where the hosts predict future volatility levels next week.…
We look at the movers and shakers in the futures options markets and in the CVOL Indexes for this past week including energy (nat gas), ags (live/feeder cattle), and much more. With your host: Mark Longo, The Options Insider Radio Network

1 The Option Block 1361: The Revenge of the Spice Girls 1:05:59
1:05:59
Play Later
Play Later
Lists
Like
Liked1:05:59
In this episode, the hosts, led by Mark Longo, delve into the current market volatility, the dynamics of the options market, and strategies for navigating today's financial landscape. Joined by guests like Uncle Mike Tosaw and Flowmaster Henry Schwartz, they discuss the influence of tariffs, unusual options activity, and the state of various financial indices. They also explore specific trades and positions, such as in LUV, XRX and NFE. They also engage with listener questions on topics like whether the BTFD trade is dead and whether this spice in the market has legs. The show combines expert insights, market analysis, and a lively discussion on who is everyone's favorite Spice Girl.…

1 The Futures Rundown 25: Crude Oil Faceoff: WTI vs Brent 16:47
16:47
Play Later
Play Later
Lists
Like
Liked16:47
In this episode of the Futures Rundown, we break down the differences between Brent and West Texas Intermediate (WTI) crude oil futures. Jermal Chandler from Tasty Live joins the discussion to help traders understand key nuances in contract specifications, market behavior, and pricing. The episode covers contract sizes, tick values, settlement types, and the geographical distinctions between Brent (Europe) and WTI (Texas). The show also touches on trading volumes, liquidity, and occasional anomalies like the negative pricing event in April 2020. 03:38 Futures 101: WTI vs Brent Crude 05:30 Contract Specifications and Trading Insights 09:06 Brent vs WTI: Market Dynamics and Trading Strategies 13:45 Final Thoughts…

1 Options Boot Camp 329: Hedging Strategies and Gamma Scalping Demystified 29:25
29:25
Play Later
Play Later
Lists
Like
Liked29:25
In this episode of Options Bootcamp, hosts Mark Longo and Dan Passarelli address various listener questions related to options trading. The episode covers the differences between institutional and retail portfolio hedging strategies, the relevance of liquidity when choosing options contracts, and the complexities of gamma scalping for retail traders. They also discuss the significance of advanced order types like OCO orders and the challenges of trading in less liquid markets. The show features special segments on rolling options positions and the interaction with listeners via chat and email.…

1 Volatility Views 623: Flirting with the Danger Zone 1:02:45
1:02:45
Play Later
Play Later
Lists
Like
Liked1:02:45
This episode of Volatility Views dives into the current state of the volatility market, with insights from hosts Mark Longo, Mark Sebastian, and Russell Rhodes. The discussion kicks off with the latest developments in VIX futures and options trading, highlighting notable market activities and trends, such as the overwhelming volume of VIX trading and the specifics of some substantial trades. The panel addresses the rise in volatility, characterized by increased daily market movements and backwardation in the VIX futures curve. Special emphasis is placed on volatility strategies and the continued importance of monitoring geopolitical and macroeconomic factors. The episode also delves into related volatility products like S-VIX and U-VIX, offering insights into the challenges and opportunities they present. The show concludes with the Crystal Ball segment, where the hosts predict future volatility levels, providing a comprehensive overview for volatility traders and enthusiasts. 01:05 Welcome to Volatility Views 02:32 Deep Dive into Volatility 02:48 Market Analysis and Guest Introductions 05:56 Volatility Review 11:44 Intraday Market Movements 23:11 VIX Futures and Options Activity 33:39 Managing Risk with Open Interest 34:31 Tuesday's Exit Trade Analysis 36:42 Wednesday's March 12th Options Activity 38:37 Thursday's VIX Trades and Strategies 39:59 VIX Options Volume and and Market Trends 46:01 SVIX and UVIX Market Dynamics 52:05 Volatility ETPs and Trading Strategies 54:52 Crystal Ball Predictions and Market Insights 01:01:46 Conclusion and Upcoming Events…

1 TWIFO 440: Revenge of the Metals & The Sum of All Fears in Equities 55:23
55:23
Play Later
Play Later
Lists
Like
Liked55:23
Host Mark Longo and guest Uncle Mike Tosaw discuss a variety of topics in the world of futures options. The main discussion focuses on precious metals, specifically silver and gold, where Uncle Mike rebuts recent criticisms suggesting that trading these is unwise. The episode also delves into the movers and shakers report featuring commodities, such as Kansas City wheat and class III milk futures, to highlight significant market changes. The conversation extends to a detailed look at equity indices, where the recent sell-off and market volatility are scrutinized, and then moves on to interest rates, particularly the 10-year note. The episode ends with listener questions, prominently addressing strategies like leveraging longer-term collars in precious metals trading. 01:22 Welcome to This Week in Futures Options 02:30 Showtime: Latest Futures Options Trading Activity 04:19 Movers and Shakers Report 09:43 Volatility Breakdown 13:11 Debate on Silver: Hopes and Dreams or Good Trades? 25:37 Gold's Meteoric Rise and Market Reactions 26:14 Gold Options Activity and Market Sentiment 27:00 Unusual Flat Skew in Gold Options 29:37 Gold Puts and Market Movements 32:12 Equities Market Turbulence 36:17 NASDAQ's Volatility and Trading Activity 41:35 Interest Rates and the 10-Year Note 47:38 Futures Options Feedback and Q&A…

1 The Option Block 1360: The Flowmaster Unleashed!!!! 1:02:34
1:02:34
Play Later
Play Later
Lists
Like
Liked1:02:34
In this episode, the hosts, led by Mark Longo, delve into the current market volatility, the dynamics of the options market, and strategies for navigating today's financial landscape. Joined by guests like Uncle Mike Tosaw and Flowmaster Henry Schwartz, they discuss the influence of tariffs, unusual options activity, and the state of various financial indices. They also explore specific trades and positions, such as in Birkenstock and Deutsche Bank, and engage with listener questions on topics like the need for a strategic crypto reserve. The show combines expert insights, market analysis, and a lively discussion on where the VIX might be headed by the end of the month. 03:08 Market Overview and Analysis 04:15 Deep Dive into Market Movements 07:31 Trading Block Insights 11:14 Options Trading Strategies and Opportunities 15:46 Impact of Tariffs on the Market 24:31 Single Stock Analysis and Trends 32:09 Retail Earnings Recap 32:51 Kroger's Earnings Breakdown 33:37 Marvell's Market Reaction 33:55 Macy's Earnings Analysis 34:38 Costco's Performance Post-Earnings 35:22 Oracle's Earnings Preview 35:53 Earnings Season Overview 36:19 Unusual Options Activity: The Odd Block 36:55 Birkenstock's Volatility 42:27 Deutsche Bank's Strong Performance 46:45 Listener Questions and Poll Results 49:16 Market Predictions and Crypto Debate 52:32 VIX Trading Insights 54:53 Around the Block: Market Watch…
Welcome to Player FM!
Player FM is scanning the web for high-quality podcasts for you to enjoy right now. It's the best podcast app and works on Android, iPhone, and the web. Signup to sync subscriptions across devices.