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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Episoder(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 ...

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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 Aug 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...

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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

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