125: What the Books Don’t Teach About Vertical Spreads

125: What the Books Don’t Teach About Vertical Spreads

Updated options trading research now available in the SPX Income Masterclass geared towards beginners with small accounts and for those who don't want to watch the market all day. The strategies included in this Lifetime Access and Updates course are mechanical in nature and lend themselves to automated trading which is also discussed in the course.

Here's the link to the SPX Income Masterclass:

https://www.stockmarketoptionstrading.net/spaces/4688450

In this episode, I discuss something about vertical spreads that options education books typically don't include. We'll explore comparing buying a single call option vs. buying a long call spread aka. bull put spread through the lens of trading strategy.

The primary point is that there is a level of consistency with vertical spreads over single options in that the cost of the spread is relatively the same over time whereas the cost of the call can vary due to volatility. This can make it harder to allocate a consistent amount of capital to a strategy.

The downside with vertical debit spreads of course is that you gaining consistency but at the cost of capping your upside gains if the market moves heavily in your favor.

Want to connect with myself? Find me on LinkedIn or X:

Eric O'Rourke: https://www.linkedin.com/in/jericorourke/

Eric O'Rourke: https://twitter.com/OptionAssassin

After that, join other listeners at https://StockMarketOptionsTrading.net and join the community for free right now where there are daily posts with clues to the where the market may be headed next.

Also on the website, Alpha Traders Club is where I host my SPX Live Chat each day for trading SPX weekly options. We focus on the premarket data and levels, technical analysis, and options flow for trading high probability trades for weekly income.

Here's the link: https://www.stockmarketoptionstrading.net/spaces/12282222

Disclaimer: This podcast is for informational and educational purposes only and should not be considered financial advice.

Jaksot(177)

153: SPX Options Setup After Surprise EU Tariff News

153: SPX Options Setup After Surprise EU Tariff News

In this week’s episode of the Stock Market Options Trading Podcast, Eric recaps last week’s pullback in SPX, driven by fresh EU tariff headlines, and how the forecast data from Alpha Crunching has res...

27 Touko 20258min

152: S&P 500 Shrugs Off Credit Downgrade? | Broken Wing Butterfly Setup

152: S&P 500 Shrugs Off Credit Downgrade? | Broken Wing Butterfly Setup

This week on the Stock Market Options Trading Podcast, I'm joined by fellow trader Brian Terry as we break down the market’s reaction to the Moody’s U.S. credit downgrade, recent economic data, and th...

19 Touko 202523min

151: This Week In The S&P500: Your Charts Might Be Lying...

151: This Week In The S&P500: Your Charts Might Be Lying...

📈 Volatility, Indicators, and the SPX Weekly Forecast | Episode 151In this episode of the Stock Market Options Trading Podcast, I cover how volatile price action can distort technical indicators—and ...

12 Touko 202513min

150: SPX Forecast After 9-Day Rally | Iron Condor Strategy Adjustments

150: SPX Forecast After 9-Day Rally | Iron Condor Strategy Adjustments

📈 First Video Podcast, SPX Forecast After 9-Day Rally, Iron Condor Adjustments & Market ForecastsWatch the video here: https://youtu.be/Pk22BcCBfn0Welcome to episode 150 of the Stock Market Options T...

5 Touko 202515min

149: This Week In The S&P500: Trading Iron Condors and Truflation

149: This Week In The S&P500: Trading Iron Condors and Truflation

Welcome back to the Stock Market Options Trading Podcast! I'm your host, Eric O'Rourke, and in this episode I break down the latest market action, key technical levels, and how I’m trading SPX options...

21 Huhti 202514min

148: This Week In The S&P500: Tariff Turmoil, Fed Caution, and a Choppy Bounce

148: This Week In The S&P500: Tariff Turmoil, Fed Caution, and a Choppy Bounce

In this episode, Eric recaps last week's wild ride in the S&P 500, driven by tariff headlines, a surprise 90-day pause, and a sharp oversold rally. He covers key economic data—including CPI, PPI, and ...

14 Huhti 202514min

147: This Week in the S&P500: Market Volatility, Tariffs, and Fed Speculation

147: This Week in the S&P500: Market Volatility, Tariffs, and Fed Speculation

In this episode, Eric discusses the sharp market selloff following the surprise "Liberation Day" announcement, ongoing tariff drama, and how global markets are reacting. He breaks down key SPX levels ...

7 Huhti 20259min

146: This Week in the S&P500: How to Stay Defensive Without Going Short

146: This Week in the S&P500: How to Stay Defensive Without Going Short

In this episode of the Stock Market Options Trading podcast, Eric welcomes back guest Brian Terry to discuss navigating the current choppy and volatile market. They cover the recent 10% correction in ...

31 Maalis 202521min

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