The Options Insider Radio Network The Options Insider Radio Network
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The Options Insider Radio Network is the premier audio destination for options traders. The network provides access to a vast array of popular programs including The Option Block, Options Boot Camp, The Advisors Option, The Long and Short of Futures Options, Volatility Views, Options Insider Radio and much more. Join the thousands around the globe who turn to The Options Insider Radio Network for options information, analysis and education.
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TWIFO 403: An Equal and Opposite Week
We look at the movers and shakers in the futures options markets and in the CVOL Indexes for this past week including energy (nat gas, crude oil), and equities (E-mini Dow, E-mini S&P 500).
With your host:
Mark Longo, The Options Insider Radio Network And CME Hot Seat guest:
Dan Gramza, Gramza Capital Management -
The Option Block 1287: The Post-Nvidia Blues
We’re back with another episode of The Option Block brought to you by Cboe Global Markets.
On this episode, we break down the latest in the options markets today including NVDA. We also look at the most active equity options today including NVDA. We discuss earnings today in SNOW and NVDA. We also look at unusual options activity in BE, MPW, BMBL, and GEO, and much more.
With your hosts:
Mark Longo, The Options Insider Media Group Henry “The Flowmaster” Schwartz, Cboe Global Markets Mark "The Greasy Meatball" Sebastian, The Option Pit “Uncle” Mike Tosaw, St. Charles Wealth Management Check out the Trade of the Day Insights Newsletter from Trade Alert - Request access to admin@trade-alert.com -
OIC 2024: Talking 0DTE, 24hr Trading and the Rise of Flex Options with NYSE
On this episode Mark is joined by:
Meaghan Dugan, Head of Options - NYSE
Mark and Meaghan discuss
When will we see 0DTE Tesla and Nvidia options? What is causing the delay in listing those products? Why did NYSE kick off another 24-hour trading arms race? Will we ever see options on the bitcoin ETFs? Why is everyone so excited about FLEX options? and much more... -
Options Boot Camp 290: IRA Trading Revisited
On this episode, Mark and Dan discuss trading options within IRAs.
What is an IRA and what can't you do with one? What options strategies can/can't you do with an IRA? Mark and Dan also discuss ETFs vs. Index Options and much more.
Brought to you by Public.com
Options are not suitable for all investors and carry significant risk. Option investors can rapidly lose the value of their investment in a short period of time and incur permanent loss by expiration date. Certain complex options strategies carry additional risk. There are additional costs associated with option strategies that call for multiple purchases and sales of options, such as spreads, straddles, among others, as compared with a single option trade.
Prior to buying or selling an option, investors must read and understand the “Characteristics and Risks of Standardized Options”, also known as the options disclosure document (ODD) which can be found at: www.theocc.com/company-information/documents-and-archives/options-disclosure-document
Supporting documentation for any claims will be furnished upon request.
If you are enrolled in our Options Order Flow Rebate Program, The exact rebate will depend on the specifics of each transaction and will be previewed for you prior to submitting each trade. This rebate will be deducted from your cost to place the trade and will be reflected on your trade confirmation. Order flow rebates are not available for non-options transactions. To learn more, see our Fee Schedule, Order Flow Rebate FAQ, and Order Flow Rebate Program Terms & Conditions.
Options can be risky and are not suitable for all investors. See the Characteristics and Risks of Standardized Options to learn more.
All investing involves the risk of loss, including loss of principal. Brokerage services for US-listed, registered securities, options and bonds in a self-directed account are offered by Open to the Public Investing, Inc., member FINRA & SIPC. See public.com/#disclosures-main for more information. -
The Advisor's Option 135: Is It Time for Buy-and-Hold 2.0?
We discuss our thoughts on the current market environment including skew in GME, AMC, NVDA, SPX and 0dte. We also look at how the earnings season is shaping up. In our Options 101 Segment, we talk about Buy & Hold 2.0. We also discuss whether it is a good time to purchase longer term protection clients with broad-based index portfolios, and much more.
With your hosts:
Mark Longo - The Options Insider Media Group Matt Amberson - Option Research & Technology Services And guest:
Philip Sun - Adaptive Investment Solutions -
The Crypto Rundown 235: Bitcoin Blow-Up, MARA Madness and More
On this episode we analyze the latest developments in Bitcoin and Ether:
Volatility Skew Open Interest Unusual activity We also look at other alt coins including MARA, we discuss whether options on the bitcoin ETFs will be approved this year, and much more.
Customer Reviews
Puts me right to sleep every time
These guys are the best, mixing some amicable banter with market commentary and insight. I have been listening as I go to bed for over two years, and the show is the best sleep aid I have ever found.
Da Toats Ma-GOATS!
Deez guys are da GOATS (greatest of all time) da TOATS-MA -GOATS!!! 💯
Awesome
Easily digestible relevant and current options information.