181: This Week In Options Trading: What's Working Right Now

181: This Week In Options Trading: What's Working Right Now

Brian Terry’s Conservative Options Income Group: https://www.stockmarketoptionstrading.net

Eric O’Rourke’s SPX Trading Community:

https://www.alphacrunching.com

Trading in a community gives you perspective, shared ideas, and support—far better than trying to figure it all out on your own.

In this episode, Eric O’Rourke is joined by Brian Terry to break down how they’re navigating a highly volatile, headline-driven market. With uncertainty tied to global events and sharp intraday reversals, both emphasize that sometimes the best trade is no trade at all—and that sitting in cash can be a strategic edge.

Brian shares how he’s staying active by focusing on strength in the energy sector, using diagonal call strategies and poor man’s covered calls on oil-related stocks showing relative strength. Rather than changing strategy structures, he explains how simply rotating into stronger sectors can maintain a bullish or neutral approach even in a weak market.

Eric contrasts this with his SPX-focused approach, where many bullish credit spread strategies are no longer triggering. He discusses why “flipping” strategies (e.g., turning put spreads into call spreads) doesn’t always work, based on backtesting results. Instead, he’s adapting through shorter-duration trades, including 0DTE trend-based spreads, while being more selective—especially on volatile gap days.

Check this Video: https://youtu.be/WLNR_5wf6YI

They also dive into:

  • The impact of extreme intraday reversals on short-term trading
  • Why timing (like the 10:30am window) can improve probabilities
  • Adjusting position sizing and exposure during uncertain conditions
  • Using moving averages (like the 100 and 200-day) to manage longer-term portfolios
  • The challenge of knowing when to re-enter after going to cash

The episode wraps with a key reminder: markets like this require flexibility, patience, and discipline. You don’t need to force trades—wait for conditions to improve and protect capital so you’re ready when opportunities return.

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Jaksot(187)

171: Stock Market Update and Economic Events This Week

171: Stock Market Update and Economic Events This Week

In this episode, we'll cover the key levels based on options positioning and the large range the S&P500 has been in since October. We'll review the Fed's dual mandate and why so much attention is paid...

8 Joulu 202511min

170: SPX Iron Condor Setup

170: SPX Iron Condor Setup

In this episode, I’m walking through an SPX Iron Condor setup I’m pricing out as volatility continues to rise and the market dips below key moving averages.Here's the link the video version: https://y...

6 Marras 20253min

169: 💡 LEAP Call Strategy for Options Income with Brian Terry

169: 💡 LEAP Call Strategy for Options Income with Brian Terry

In this episode, Brian shares his LEAP call strategy — a flexible options approach that uses long-dated calls as a stock substitute while selling weekly calls for steady income. He breaks down real tr...

3 Marras 202510min

168: SPX Levels, Weekly Trade Setups & a Profitable LEAP Strategy

168: SPX Levels, Weekly Trade Setups & a Profitable LEAP Strategy

In this episode, Eric and Brian kick off the week with a look at the SPX options market, recent price action, and key gamma levels heading into FOMC week. Eric recaps his recent put credit spread trad...

27 Loka 202527min

167: 🎯Bullish Put Diagonal Discussion

167: 🎯Bullish Put Diagonal Discussion

In this episode, Brian breaks down a bullish put diagonal strategy he’s been testing on individual stocks — a twist on the traditional diagonal that behaves more like a cash-secured put with built-in ...

22 Loka 202513min

166: 📈SPX Rebounds Hard — What Last Week’s Selloff Really Taught Us

166: 📈SPX Rebounds Hard — What Last Week’s Selloff Really Taught Us

👉 Join us live every Monday at StockMarketOptionsTrading.net to be part of the next Zoom call and get your questions answered in real time.📈 Market Recap & Trading Lessons:🚀 Big rebound after last ...

21 Loka 202515min

165: When Uptrends Break

165: When Uptrends Break

🎯 Get 50% off AlphaCrunching.com with code SPX50 — your edge for data-driven SPX option strategies.In this episode, Eric O’Rourke breaks down what happens when an uptrend breaks — and how traders can...

15 Loka 202519min

164: Expectancy vs. Win Rate: What Really Matters

164: Expectancy vs. Win Rate: What Really Matters

In this episode of the Stock Market Options Trading Podcast, Eric dives into the concept of expectancy—a key metric that blends win rate, average win size, and average loss size into one number that h...

29 Syys 202519min

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