161: Option Omega Review, Backtest, Strategy, and Automation

161: Option Omega Review, Backtest, Strategy, and Automation

🎁 50% OFF: Option Omega (code SMOT) • Alpha Crunching (code SPX50) — grab both and build + automate your SPX playbook.

This episode is a fun, nerdy deep-dive with Troy and Matt from Option Omega. We cover how to build realistic backtests for options (especially 0DTE) and when it makes sense to automate entries/exits so you’re not chained to the screen. We also walk through a few trade structures—including the much-misunderstood Reverse Iron Condor (RIC)—and talk about portfolio-level thinking: position sizing, diversification across edges, and why “one-lotting” more often than not can save your sanity.

What we cover:

  • Why end-of-day data lies for options backtests and how 1-minute, intraday pricing changes the conclusions (stops, profit targets, and whether you even got filled).
  • The rise of 0DTE and why intraday realism matters way more than it did for 45–90 DTE trades.
  • The “Punisher”: stress-testing backtests with slippage, fills, and tougher assumptions so results hold up in live trading.
  • Liquidity matters: why OO focuses on top tickers (SPX, SPY, QQQ, etc.), and the pros/cons of instruments like XSP.
  • RICs (Reverse Iron Condors) as long-gamma plays: when long premium + the right signal can still have positive expectancy, and sizing so a few losses don’t nuke the account.
  • Credit-spread philosophy: structure ≠ edge. Edge comes from when you put it on (signals), then you pick the simplest structure that monetizes that edge.
  • Automation better than willpower: broker-resting stops, time windows, and signal-gated entries so your plan runs even when you’re walking the dog.
  • Sizing & psychology: allocations as a strategy; why many traders should downshift to one-lots more often; diversifying edges (theta harvest + long-gamma + price-action) on the same ticker.
  • My ASD signal (Alpha Crunching): using Average Strength Deviation as a weekly, day-of-week filter; combining ASD with simple MAs/EMAs for “aggressive” ATM put-credit spreads; converting those rules into hands-off automations.
  • Broker support today: Schwab, Tastytrade, Tradier (IB not currently supported for U.S. retail cloud API).

Key takeaways:

  • Backtests need intraday realism or they’re just stories.
  • Structure is just the container; edge = timing + conditions.
  • If your edge is “market stability”, credit spreads monetize it better than naked long calls.
  • Automation lets you run more strategies with smaller per-trade risk and fewer emotional mistakes.
  • Test harshly (slippage, fills, stops) so live results rhyme with backtests.

Resources & links:

  • 🔧 https://OptionOmega.com (backtesting + automation) — Use code SMOT for 50% off.
  • 📈 https://AlphaCrunching.com (signals, forecasts, ASD/WTR/TTR, weekly trade ideas) Use code SPX50 for 50% off first year.

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Jaksot(187)

187: This Week in the S&P500: SPX Levels, FOMC, and NVDA Earnings

187: This Week in the S&P500: SPX Levels, FOMC, and NVDA Earnings

This week on the Stock Market Options Trading Podcast, Eric O’Rourke breaks down the current SPX market pullback, key support levels, upcoming FOMC minutes, and why Nvidia earnings could be a major ca...

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186: This Week in Options Trading - Market at Highs… Now What?

186: This Week in Options Trading - Market at Highs… Now What?

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185: Inside My SPX Strategy with Option Omega

185: Inside My SPX Strategy with Option Omega

Watch the full video version of this episode:https://youtu.be/2RgGjxUe35w?si=m1BU5TwEq973he2kLinks & Discounts:Option Omega → https://optionomega.com (Use code SMOT for a discount)Alpha Crunching → ht...

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

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

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183: This Week in Options Trading: Back Above 6900—Now What?

183: This Week in Options Trading: Back Above 6900—Now What?

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182: 3 Reasons the Stock Market May Have Bottomed

182: 3 Reasons the Stock Market May Have Bottomed

In this episode of the Stock Market Options Trading podcast, host Eric O'Rourke breaks down three key reasons why a potential short-term bottom may be forming in the market.Despite ongoing geopolitica...

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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.netEric O’Rourke’s SPX Trading Community:https://www.alphacrunching.comTrading in a community gives you perspecti...

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180: Trading Wide Iron Condors in High Volatility (with Brian Terry)

180: Trading Wide Iron Condors in High Volatility (with Brian Terry)

In this episode, Eric O’Rourke is joined by Brian Terry from the Conservative Options Income Network (COIN) to break down a recent SPX iron condor trade that caught attention for its unusually wide st...

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