The Volatility Shift No One Sees | What the Options Market Says About What Comes Next

The Volatility Shift No One Sees | What the Options Market Says About What Comes Next

In this episode, Jack Forehand is joined by Brent Kochuba from SpotGamma to break down how options market flows are increasingly shaping equity market behavior. The conversation focuses on January options expiration, the explosive growth of zero DTE options, and why short term volatility dynamics matter even for long term investors. Using recent market examples, the episode explains how dealer hedging, gamma exposure, and correlation shifts can drive rallies, reversals, and sudden corrections that often seem disconnected from fundamentals.

Topics covered
• Why options volume has surged since 2020 and how zero DTE trading changed market structure
• How dealer hedging flows influence stock prices, volatility, and intraday market moves
• The Captain Condor collapse and what it reveals about selling volatility and hidden risks
• Why options expiration can act as a catalyst for market turning points
• The relationship between implied volatility, realized volatility, and market stability
• Gamma exposure explained and how positive vs negative gamma affects price action
• Correlation trades and why low index volatility can signal growing market fragility
• What current options positioning says about risks and opportunities after January opex

Timestamps
00:00 Introduction and why options flows matter for all investors
03:00 What the show is about and how options expiration drives market behavior
06:00 The Captain Condor story and the dangers of selling volatility
15:20 Why options volume has exploded since COVID
18:45 How market makers hedge options and move underlying stocks
22:00 Why options expiration forces positioning changes
25:00 Volatility behavior before and after opex
27:45 Gamma exposure and how it predicts short term volatility
29:50 December opex review and what played out as expected
36:00 Correlation trades and warning signals for corrections
44:40 Single stock options, speculation, and market maker profits
46:30 Quadrant view of call buying, volatility, and crowd behavior
49:55 Implied vs realized volatility and why tension is building

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Episoder(36)

Big Rally Collides with Oil and Rate Reality | What the Options Market Says Comes Next

Big Rally Collides with Oil and Rate Reality | What the Options Market Says Comes Next

SpotGamma founder Brent Kochuba joins Jack Forehand to break down September options expiration, the S&P 500's negative gamma risk, and what options positioning reveals about potential stock market vol...

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Big Semi Decline. Big Rally. Big Macro Risk | What the Options Market Says Comes Next

Big Semi Decline. Big Rally. Big Macro Risk | What the Options Market Says Comes Next

In this episode of The OPEX Effect, Jack Forehand and SpotGamma founder Brent Kochuba break down how options expiration, 0DTE trading, dealer gamma and leveraged flows are shaping the stock market. Th...

15 Aug 51min

Not Since the Dot-Com Bubble | The Vol Signal Flashing for the First Time in 20 Years

Not Since the Dot-Com Bubble | The Vol Signal Flashing for the First Time in 20 Years

Brent Kochuba of SpotGamma is back for The OPEX Effect to explain why July options expiration could remove a major source of market support and open the door to a volatility spike or stock market corr...

11 Jul 1h 4min

SpaceX, OPEX, and the Flows Behind the Biggest IPO in History

SpaceX, OPEX, and the Flows Behind the Biggest IPO in History

In this episode of The OPEX Effect, Brent Kochuba and Jack Forehand break down the market structure impact of the SpaceX IPO, options expiration, dealer gamma, volatility, and the next major setup for...

13 Jun 1h 7min

The Melt Up That No One Expected | What the Options Market Says About What Comes Next

The Melt Up That No One Expected | What the Options Market Says About What Comes Next

Brent Kochuba of SpotGamma joins Jack Forehand for the May 2026 OPEX Effect to break down what options positioning is saying after a massive AI and semiconductor-led market rally. They discuss SPX cal...

9 Mai 1h 6min

The Market the Tweets Can’t Break | What the Options Market Tells Us About What Comes Next

The Market the Tweets Can’t Break | What the Options Market Tells Us About What Comes Next

This episode of The Opex Effect breaks down why markets have remained surprisingly resilient despite geopolitical chaos, an oil shock, and extreme headline risk. Brent Kochuba joins Jack Forehand to a...

11 Apr 1h 8min

A 3% Drop from VIX 40 | What the Options Market Tells Us About What Comes Next

A 3% Drop from VIX 40 | What the Options Market Tells Us About What Comes Next

This episode breaks down the growing tension beneath the surface of today’s markets, where volatility signals, options positioning, and macro risks like war and inflation are increasingly misaligned. ...

20 Mar 1h 9min

Violently Going Nowhere | What the Options Market Tells Us About What Comes Next

Violently Going Nowhere | What the Options Market Tells Us About What Comes Next

In this episode of The Opex Effect, Jack and Brent break down the growing impact of options markets on stocks, volatility, and sector rotation. While the major indexes appear calm, massive moves benea...

15 Feb 1h 6min

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