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469 episodes
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The tastylive network tastylive
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- Business
The tastylive network teaches investors innovative, simple ways to trade stocks, options, and futures, take advantage of market volatility and build a successful portfolio. Tom Sosnoff leads an irreverent and playful band of floor traders who are showing America a new way to quickly find low risk, high return strategies in bullish, bearish and sideways markets.
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Live From the Trade Desk - June 17, 2024 - Sports Bets & Stocks
Tom Preston, Scott Sheridan, and Tom Sosnoff discussed nostalgia, sports bets, and notable visits like the LBJ Presidential Museum. Sheridan admired hockey's intensity, while the trio laughed over film critiques and hotel stays. Key symbols like NVDA, TSLA, MSFT, and AMD were mentioned during analysis.
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- video
Live From the Trade Desk - June 17, 2024 - Sports Bets & Stocks
Tom Preston, Scott Sheridan, and Tom Sosnoff discussed nostalgia, sports bets, and notable visits like the LBJ Presidential Museum. Sheridan admired hockey's intensity, while the trio laughed over film critiques and hotel stays. Key symbols like NVDA, TSLA, MSFT, and AMD were mentioned during analysis.
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- video
Market Measures - June 17, 2024 - Days To Expiration Vs Implied Volatility
Tom Sosnoff and Tom Preston discussed key concepts from a recent study on implied volatility and days to expiration in options trading. They highlighted that volatility is mean reverting while price is not, and explored optimal trading strategies based on current market conditions. They found that managing options at 50% of max profit within 45 days was most effective, particularly in high volatility scenarios, emphasizing the importance of sound risk management and mechanical decision-making.
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Market Measures - June 17, 2024 - Days To Expiration Vs Implied Volatility
Tom Sosnoff and Tom Preston discussed key concepts from a recent study on implied volatility and days to expiration in options trading. They highlighted that volatility is mean reverting while price is not, and explored optimal trading strategies based on current market conditions. They found that managing options at 50% of max profit within 45 days was most effective, particularly in high volatility scenarios, emphasizing the importance of sound risk management and mechanical decision-making.