184: This Week in the SP500: Market Holding Strong Near Highs

184: This Week in the SP500: Market Holding Strong Near Highs

In this episode, Eric and Brian Terry break down a market that just won’t quit—despite geopolitical tension, rising oil, and a packed economic calendar. With the S&P 500 hovering near all-time highs, the conversation dives into positioning, risk management, and where the real opportunities might be right now.

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  • 🎧 Stock Market Options Trading Podcast: https://stockmarketoptionstrading.net
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  • 📊 Weekly TSE Report & Trade Setups: Available inside Alpha Crunching

📈 Episode Breakdown

This week’s discussion centers around a tricky market environment—strong momentum on the surface, but plenty of uncertainty underneath.

  • The market rallied over 4% last week and continues to hold near highs, even with rising oil and geopolitical concerns
  • Key events this week include retail sales, PMI data, and a major appearance from the incoming Fed Chair
  • Despite potential volatility, the market continues to show resilience, with dips getting bought quickly

Eric shares how he’s navigating this environment:

  • Sitting on higher cash levels after covered calls were assigned
  • Looking for pullbacks to re-enter long positions or potentially deploy collar strategies
  • Increasing focus on SPX 0DTE trades for short-term opportunities with defined risk

Brian walks through a practical hedge idea using a broken wing butterfly on QQQ, highlighting:

  • Favorable risk/reward structure
  • Ability to profit even in downside scenarios
  • A flexible way to hedge without tying up large capital

⚡ Key Takeaways
  • Short-term uncertainty, long-term bullish tone continues to define the market
  • Many traders are holding cash, which could fuel continued dip-buying
  • 0DTE trading is gaining traction, especially with potential changes to PDT rules making it more accessible
  • Gamma levels and options positioning suggest possible resistance near current levels, but nothing is guaranteed

📊 Strategy Focus

Eric discusses leaning more into:

  • Mechanical 0DTE credit spreads using the Trend Spread Engine (TSE)
  • Staying active even when swing strategies aren’t triggering
  • Using data-driven timing, trend, and strike selection to find edge intraday

🎧 Listen On

Available on:

  • Apple Podcasts
  • Spotify
  • And all major podcast platforms

If you’re looking to stay active in this kind of market, this episode is a solid mix of macro perspective and actionable strategy ideas.

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Jaksot(196)

196: Building a Winning Options Trading Portfolio

196: Building a Winning Options Trading Portfolio

📊 Trade These SPX Setups With UsThe strategies discussed in this episode are part of the Alpha Crunching Trade Setups, where we use backtesting and market data to build a portfolio of mechanical SPX ...

24 Elo 10min

195: The Friday-to-Monday SPX Edge

195: The Friday-to-Monday SPX Edge

In this week's Stock Market Options Trading Podcast, we're looking at an interesting SPX pattern: Mondays have produced the strongest average S&P 500 returns so far in 2026.Here's the video version: h...

17 Elo 8min

194: Does Gamma Move the S&P 500? What SPX Traders Should Know

194: Does Gamma Move the S&P 500? What SPX Traders Should Know

In Episode 194 of the Stock Market Options Trading Podcast, we take a data-driven look at the S&P 500, SPX options, gamma levels, opening range breakouts, and a mechanical 0DTE Iron Condor strategy.We...

10 Elo 14min

193: Markets Rebound, SPX Gamma Levels, and a 76% Win Rate Options Strategy

193: Markets Rebound, SPX Gamma Levels, and a 76% Win Rate Options Strategy

In this week's episode of the Stock Market Options Trading Podcast, Eric O'Rourke takes a data-driven look at the markets, reviews the latest SPX price action, discusses key economic events for the we...

3 Elo 9min

192: This Week in Options Trading  | Market Outlook & Options Strategies

192: This Week in Options Trading | Market Outlook & Options Strategies

This week on Stock Market Options Trading, Eric O'Rourke and Brian Terry break down the latest market action following geopolitical headlines, discuss why the recent SPX rally continues to stall, and ...

27 Heinä 18min

191: This Week In The S&P500: CPI, Earnings & Gamma

191: This Week In The S&P500: CPI, Earnings & Gamma

In this episode of the Stock Market Options Trading Podcast, Eric O'Rourke and Brian Terry discuss the current SPX market environment, why June was a difficult month for many options traders, and what...

13 Heinä 23min

190: SPX Opening Range Breakout (ORB) Strategy Using 0DTE Call Debit Spreads (Part3)

190: SPX Opening Range Breakout (ORB) Strategy Using 0DTE Call Debit Spreads (Part3)

In Part 3 of this series on building an automated SPX 0DTE portfolio, we explore the final strategy we've added to our growing mix of high-frequency, positive expectancy trades: the 30-minute Opening ...

29 Kesä 14min

189: The Truth About Win Rate and Risk Reward (Part 2)

189: The Truth About Win Rate and Risk Reward (Part 2)

In this episode, Eric continues the Automated Strategy Pipeline series by tackling one of the most misunderstood topics in trading: win rate.Many traders evaluate a strategy based on a single number: ...

12 Kesä 13min

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