177: How I’m Trading This Volatile SPX Market Right Now

177: How I’m Trading This Volatile SPX Market Right Now

Before we jump in — if you want to see the tools mentioned in this episode in action, including the 0DTE Trend Spread Engine and the 1DTE Bias indicator, visit AlphaCrunching.com to learn more and join the trading community.

In this episode, Eric discusses the recent market breakdown and how current geopolitical tensions, volatility, and upcoming economic data are shaping trading decisions. With SPX experiencing sharp moves and uncertainty rising, he walks through how he’s adapting his approach and managing trades during this environment.

A major theme is market structure and key levels. Right now, gamma positioning appears scattered across large round numbers, suggesting institutional traders themselves are uncertain. As a result, Eric is watching major SPX levels every 100 points (6600, 6700, 6800, etc.) as potential support and resistance zones while the market “ping-pongs” between them.

He also reviews the macro backdrop driving volatility, including geopolitical tensions, sector rotation away from AI stocks, and a busy week of economic data with CPI, jobless claims, and PCE all ahead. These events could determine whether the market stabilizes or pushes lower toward the mid-6600s.

Eric then explains how he’s positioning his portfolio:

  1. Maintaining a core SPY position while actively trading around it
  2. Using covered calls and rolling positions to manage downside while leaving room for upside participation
  3. Pausing many longer-duration spreads due to increased uncertainty

Much of the current trading activity has shifted toward shorter-term strategies, particularly SPX 0DTE trades.

The episode highlights how the AlphaCrunching 0DTE Trend Spread Engine (TSE) is being used in practice. The system ranks the best times of day for 0DTE spreads based on historical performance and now posts the short strike levels from the highest-probability trades. These levels act as data-backed areas where SPX has historically stayed away from by expiration, allowing traders to use them as reference points for structuring credit spreads.

Eric also introduces progress on the 1DTE Bias indicator, an experimental tool that evaluates market regimes using factors like trend behavior and VIX conditions. By comparing current conditions to historical matches over the past three years, the tool estimates the probability of the market closing higher the next day. The recent volatility spike has highlighted one of the challenges of building this model: unusual market conditions sometimes produce very small historical sample sizes.

The episode closes with an important reminder about patience and risk management. In volatile environments, it’s often better to wait for conditions to settle rather than forcing trades. Sometimes the best position is simply holding cash until clearer opportunities emerge.

Overall, this discussion provides a real-time look at how Eric is navigating a volatile market using a combination of macro awareness, probability-based levels, and adaptive options strategies.

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Episoder(193)

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 Aug 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 Jul 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 Jul 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 Jun 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 Jun 13min

188: Building An Automated Strategy Pipeline (Part 1)

188: Building An Automated Strategy Pipeline (Part 1)

🚀 Join Alpha Crunching and save 50% on your first year:https://www.alphacrunching.comGet weekly SPX forecasts, backtested trade ideas, trade alerts, Discord access, and research designed to help you ...

4 Jun 15min

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...

19 Mai 6min

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

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

👉 Alpha Crunching (SPX data, trade ideas & alerts): https://alphacrunching.com 👉 Conservative Options Income Network (Brian Terry): https://stockmarketoptionstrading.netIn this episode, Eric sits do...

5 Mai 25min

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