The Options Insider Radio Network

  • Autor: Vários
  • Narrador: Vários
  • Editora: Podcast
  • Duração: 2269:49:19
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Sinopse

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.

Episódios

  • The Option Block 1455: Headline Risk and Suspicious Merger Paper

    27/03/2026 Duração: 01h22s

    The markets are seeing red this Thursday, but the action in the pits is heating up. Join Mark Longo, Henry "The Flowmaster" Schwartz, and "Uncle Mike" Tosaw as they break down a wild session dominated by geopolitical tension, spiking energy prices, and some very curious "unusual activity." In this episode, the panel dives into: The Trading Block: A look at the "Blood Red Thursday" playbook. With the S&P, Dow, and Nasdaq all sliding, why are VIX puts seeing massive volume? Plus, a look at the "Mag 10" and why small caps are finally feeling the heat. Suspicious Paper: The team revisits last week's look at Brown-Forman (BF.B). Was it luck, or did someone know something? The stock exploded 15% on merger rumors exactly as the unusual call activity predicted. Odd Block: Henry highlights unusual bullish flow in Momo (MOMO) and the high-juice world of Bit Deer (BTDR). Is it time to sell covered calls on crypto miners? Earnings Insight: Why "Love Sack" (LOVE) is the surprise winner of the day and what's ex

  • The Futures Rundown 70: Let's Talk About Brent

    25/03/2026 Duração: 30min

    The global energy landscape is shifting, and WTI isn't the only story in town. In this episode of The Futures Rundown, host Mark Longo breaks down the massive divergence in the energy complex as the Brent-to-WTI spread hits its widest level in over 11 years. With Middle East tensions impacting the Strait of Hormuz, we move beyond the headlines to analyze the contract specs, volume trends, and risk profiles that every futures trader needs to understand in 2026. Inside the Trading Pit: Energy Dominance: Why Brent Crude and Heating Oil are leading the year-to-date leaderboard (up 68% and 85%, respectively). The "Shiny Stuff" Slump: Analyzing the surprising 6-7% weekly sell-off in Gold, Silver, and Palladium. Equity Rotation: Small caps (Russell 2000) finally turn green for the year—is the move out of large-cap tech permanent? Contract Specs 101: A deep dive into ICE Brent Crude—contract sizes, tick values ($10 vs. $5), and the reality of cash settlement vs. physical delivery. Futures Free-for-All: We t

  • The Hot Options Report: 03-25-26

    25/03/2026 Duração: 11min

    Host Mark Longo breaks down the massive institutional flows for Wednesday, March 25, 2026. We dive into the big money moving in Alphabet (GOOGL), heavy volatility in Micron (MU), and the massive momentum shift in AMD. Today's Market Heat Map: AMD Spotlight: Breaking down the 785,000 contracts as AMD rallies over 7%. Alphabet Analysis: Inside the Wednesday weekly action as GOOGL hits the top ten volume list. Whale Trades: The "Million Plus" badge scans for Micron (MU) and big premium in Cadence. The Volume Leaders: A look at the millions of contracts in Tesla (TSLA) and Nvidia (NVDA). Get the Data: TheHotOptionsReport.com

  • Options Boot Camp 383: Weekend Risk and Dangerous Donkeys

    25/03/2026 Duração: 23min

    Is the "Wheel Strategy" making you nervous in a high-volatility market? In this episode, Mark Longo and Dan Passarelli field listener questions about navigating black swan fears, the "Greeks" you should watch when the market moves fast, and whether the AI narrative in Nvidia still has legs. Dan also prepares for his upcoming trip to Greece by getting some questionable advice from Mark about riding donkeys in Santorini and ordering "Euros" at the local taverna. Key topics covered in this episode: The Wheel Strategy vs. Credit Spreads: Is it time to cap your downside when the VIX hits 22? Vega and Gamma Focus: How your attention should shift between Greeks in a fast-moving market. Nvidia (NVDA) Outlook: Dealing with underwater bull call spreads after the GTC conference. 0DTE Expansion: Will we see more zero-day contracts added to the roster this year? UVIX vs. SVIX: A deep dive into leveraged and inverse VIX products and how to use them to hedge "weekend risk."

  • The Hot Options Report: 03-24-26

    24/03/2026 Duração: 10min

    On today's episode of The Hot Options Report, Mark Longo breaks down a surprisingly quiet Tuesday in the options market. While total volume hit "dog days of summer" levels at just 362,000 contracts to break the Top 10, the 5K Club scanner was lighting up with significant institutional activity. Inside this episode: The 5K Club: A deep dive into massive block trades in the VIX, EWZ (Brazil), and NVIDIA ($NVDA). The Top 10 Countdown: Why Tesla ($TSLA) and NVIDIA held the top spots despite lighter-than-usual overall volume. Retail & Tech Movers: Analyzing the options tape for SoFi, Amazon ($AMZN), Alphabet ($GOOGL), and Meta. Semiconductor Volatility: A look at the "wild" action in Micron ($MU) and Palantir ($PLTR) as paper looks to overwrite positions. Whether you're tracking the "Power Strike" in Meta or looking for the next big move in the Fruit Company ($AAPL), we have the data you need to stay ahead of the tape. Check out the full scans at TheHotOptionsReport.com .

  • The Hot Options Report: 3-23-26

    23/03/2026 Duração: 12min

    Join Mark Longo for the Monday, March 23, 2026, edition of The Hot Options Report. It was a "respectable" day on the tape with over half a million contracts needed just to break into the top 10. We start the week by looking at the Call Bias Scan from TheHotOptionsReport.com, featuring WFRD, KANE, and DNTH as the top names where the bulls are showing their hand. The Top 10 Deep Dive: Tesla (TSLA): Reclaims the #1 spot with 2.92M contracts. We break down the nail-biting action in the 380 puts. Nvidia (NVDA): 2.6M contracts traded. Was the 180 call a smart "lottery ticket" or a total washout? Apple (AAPL): Unusual size (72k contracts) hitting the June 280 calls. SMCI: Defending the 20 strike once again as volatility remains high. The Tech Stack: Rapid-fire analysis of MSFT, AMZN, PLTR, MU, META, and SOFI. Get the full breakdown of the strikes that matter and the "paper" that moved them. Full Scans & Badges: www.TheHotOptionsReport.com Pro Insight: www.TheOptionsInsider.com/Pro

  • The Crypto Rundown 312: Are We Feeling Crypto HYPE Again?

    23/03/2026 Duração: 36min

    Is Bitcoin finally decoupling from Gold as a flight-to-quality asset? Join Mark Longo and Greg Magadini from Amberdata as they break down the 75K "magnet" level and the surge of "Hype" in the top 10. Full Description: In this episode, we dive deep into the shifting dynamics of the crypto derivatives market amidst global volatility. As the Middle East conflict influences traditional assets, we examine why Bitcoin is showing relative strength against Gold and what dealer positioning at the $75,000 strike tells us about the next move. Key topics include: The Bitcoin Breakdown: Analyzing the $65K–$75K consolidation range and the impact of extreme backwardation. Dealer Positioning: Why the 75K calls are acting as a "magnet" for price action. Altcoin Universe: The rise of Hyper Liquid (HYPE) into the Top 10 and why Solana (SOL) remains a favorite for "responsible yield." The Volatility Surface: Exploring the negative spot-vol correlation and the impact of IBIT options on the skew. Stablecoin Velocity: A d

  • The Option Block 1454: The Big Bounce Back?

    23/03/2026 Duração: 01h01min

    The markets are shot out of a cannon this Monday! Host Mark Longo is joined by Uncle Mike Tosaw and Andrew "The Rock Lobster" Giovanizzi to break down a wild "Bounce Back" session driven by shifting geopolitical headlines and "weekend risk" reversals. On this episode, the panel dives into: The Trading Block: A massive reversal in the S&P 500 and Nasdaq. Is the "Taco Trade" back in play? Plus, a look at VIX cash flirting with 26 and a surge in April 30 calls. Odd Block: Unusual activity in a newcomer—TetraTech (TTEK)–and a potential "rubber rebound" in Goodyear Tire (GT). Strategy Block: Uncle Mike shares a "tool for the toolbox" for covered call writers caught in a downtrend. Mail Block: The panel debates: Will the Fed actually cut rates again in 2026? Plus, find out if you know what a "somnambulist" is in our 80s Trivia Challenge!

  • The Hot Options Report: 03-20-26

    20/03/2026 Duração: 12min

    On a "blood red" Friday in the markets, the Hot Options Report dives into the explosive allegations rocking the AI sector. Federal prosecutors have unsealed an indictment against a co-founder of Super Micro Computer (SMCI), alleging a massive $2.5 billion scheme to smuggle restricted NVIDIA (NVDA) AI chips to China. Mark Longo breaks down how this scandal sent SMCI shares plummeting over 33% and how the "options tape" reacted to the news. We also look at the Silver Sweep scan, tracking nearly $1 million in premium moving through the chains. In this episode, we cover: SMCI Meltdown: The details of the $2.5B smuggling case and the massive put volume targeting the $20 strike. NVIDIA (NVDA): How the SMCI news and broader sell-off impacted the king of AI chips. The Silver Sweep: Deep dives into huge institutional flows in SPY, IWM, and NVDA LEAPS. Market Countdown: Volatility updates for Intel (INTC), Meta (META), Microsoft (MSFT), Amazon (AMZN), SoFi, Micron (MU), Apple (AAPL), and Tesla (TSLA). Run you

  • Volatility Views 673: Geopolitical Risk and the Death of Lone Wolf McQuade

    20/03/2026 Duração: 01h28s

    In this episode of Volatility Views, the crew breaks down a week of intense market swings driven by escalating Middle East conflict and a stunning shift in the Fed's long-term rate outlook. We also pay tribute to the legendary Chuck Norris (1940–2026) and discuss why his passing—and the spirit of Lone Wolf McQuade—is the perfect metaphor for today's "fighting" markets. Key Topics Covered: The 2027 Pivot: Why the market is suddenly pricing in a "higher for much longer" regime, with the next potential rate move shifting toward late 2027. Geopolitical Volatility: How the Iran-Israel conflict and threats to oil supply chains are keeping the VIX term structure in a state of nervous backwardation. The Gretchen Bullseye: Russell Rhoads' model nails the VIX Cash settlement at 26.26. We look at the next prediction for the week ahead. The UVIX "Open-to-Open" Edge: A deep dive into Russell's new back-tested strategy for trading volatility ETPs over the weekend. VIX Option Flow: Analyzing the massive April 80 c

  • TWIFO 489: Middle East Conflict Shakes Energy Spreads, Defies Gold Logic & Rattles Equities

    20/03/2026 Duração: 01h01min

    In this episode, Mark Longo and Dan Gramza dive deep into the massive dislocations hitting the futures and options markets as Middle East tensions escalate. While WTI remains surprisingly range-bound, the Brent spread has widened to levels not seen in over a decade. Why isn't gold acting as a safe haven, and what is the "put bomb" currently dropping in the S&P 500? In this episode, we cover: Movers & Shakers: Heating Oil and Lumber lead the bulls, while Silver and Platinum take a massive hit. Energy: The 11-year high in the Brent/WTI spread, the impact of the Strait of Hormuz, and a look at the massive 1x3 vertical calls in Brent. Equities: Why the S&P 500 remains "orderly" despite the volatility, and a look at the heavy 6500 put activity. Metals: The missing "flight to quality"—why Gold is selling off during a geopolitical crisis and what the 35+ vol means for traders. Nat Gas: Assessing the damage to global LNG facilities and the neutral zone between $2.90 and $3.30.

  • The Option Block 1453: Getting Drunk on Crude and Coal

    19/03/2026 Duração: 58min

    The "Thursday Effect" strikes again as geopolitical tensions in the Middle East send markets tumbling and volatility spiking. Host Mark Longo is back in the Chicago studio to break down a "Blood-Red Thursday" alongside "Uncle" Mike Tosaw and Henry "The Flowmaster" Schwartz. The panel dives into the massive VIX rolls, the curious lack of a "flight to quality" in bonds and gold, and why the S&P 500 is struggling to hold the 6500 level. Plus, we look at why traders are suddenly piling into coal and spirits. In this episode, we discuss: The Trading Block: Market reaction to Middle East escalations, surging oil, and the VIX hitting 25. VIX Watch: A massive 250,000-contract roll in May/August 47.50 calls. The Odd Block: Unusual activity in Alliance Resource Partners (ARLP) and a speculative flurry in Brown-Forman (BF.B). Mail Block: What's keeping traders up at night? Geopolitical risk vs. sky-high valuations. Around the Block: What to watch as we head into the weekend, including FedEx earnings and th

  • The Hot Options Report: 03-19-26

    19/03/2026 Duração: 10min

    In this episode of The Hot Options Report, host Mark Longo breaks down a "weird and wild" Thursday session. As the broader markets feel the heat, the options tape is flashing some highly unusual signals—specifically a massive wave of deep in-the-money (ITM) puts across major tech and energy names. On the Docket Today: Micron Earnings Carnage: Did the "500-strike dream" for Micron (MU) turn into a nightmare? We analyze the post-earnings fallout and what those expiring calls mean for the tape. The Scan of the Day: We dive into the "Hidden Figure" scan, identifying stealthy, near-dated institutional flow in Nvidia (NVDA), Comcast (CMCSA), and Bank of America (BAC). The ITM Put Mystery: Why are traders flooding the tape with deep ITM puts in Meta, Amazon, and Apple? Is this a massive move to get long stock at specific levels, or a unique hedging regime? Energy on Fire: With oil markets literally heating up, we look at the newcomer to our Top 10, Canadian Natural Resources (CNQ). The Top 10 Countdown: Fr

  • The Futures Rundown 69: Crude Is In The Driver's Seat

    19/03/2026 Duração: 27min

    The futures markets are heating up, and energy is leading the charge. In this episode, host Mark Longo is joined by Jermal Chandler, Head of Options Strategy at tastytrade, to break down a wild "Fed Day" and explain why Crude Oil has become the "current VIX" of the marketplace. From the impact of global conflicts on the Strait of Hormuz to the surprising sell-off in Silver, we dive deep into the movers and shakers of the week. Are sky-high valuations keeping traders awake, or is the "buy the dip" mentality still reigning supreme? Inside this episode: The Trading Pit: Why WTI and Brent are dominating the volume charts. The Fed Factor: Analyzing the latest decision to sit on rates and what it means for the 10-year yield. Movers & Shakers: A look at the massive rallies in Heating Oil and RBOB Gasoline versus the slump in Cocoa and Crypto. Futures Free-for-All: We reveal the results of our listener poll—what is the #1 risk traders are actually worried about? Whether you're trading micros, ETFs, or l

  • The Hot Options Report: 03-18-26

    18/03/2026 Duração: 10min

    On this episode of The Hot Options Report, host Mark Longo breaks down a "Fed Day" session where traders kept their powder dry, yet the options tape remained scorching. We dive into the Top 10 most active products, starting with a massive dividend play in Restaurant Brands International (QSR) and a wild ride in Micron (MU) ahead of their high-stakes earnings announcement. From Nvidia's post-showcase volume to Tesla's battle at the par strike, we analyze where the "smart money" was selling premium and where the zero-day buyers got burned. On the Docket Today: The Earnings Spotlight: Micron (MU) puts up 591,000 contracts as traders pile into the 500 calls—was it a repeat of the Microsoft "fade"? Dividend Play of the Day: Why QSR crashed the Top 10 party. Tech Fades: Breaking down the action in Nvidia (NVDA), Apple (AAPL), Microsoft (MSFT), and AMD. Zero-Day Drama: A look at the $615 puts in Meta and the $19 calls in SoFi. Check out the data for yourself at TheHotOptionsReport.com and stay ahead of t

  • Options Boot Camp 382: Ways To Play the Oil Madness

    18/03/2026 Duração: 32min

    Fall in, recruits! Mark Longo is back in the Chi-Town studio, braving the cold to get you into peak options trading shape. With the energy markets in a state of high alert and WTI futures seeing massive volume, your drill instructors are here to break down the complex world of oil. In this week's Options Drills, Mark and Dan Passarelli explore: Going to the Source: The benefits of trading WTI and Brent futures for pure, one-to-one correlation. The USO Dilemma: A deep dive into the much-maligned US Oil Fund. We discuss the "Negative Oil" ghosts of 2020 and the impact of negative roll yield. Equity Surrogates: Using XLE (Energy Select Sector SPDR) and individual giants like Chevron (CVX) as portfolio proxies. The Volatility Play: How to view geopolitical crises through the lens of VIX, UVIX, and SVIX. Whether you're looking to generate income or hedge against $100+ crude, this is your tactical briefing.

  • The European Market Brief 20: Grappling With Short-Term Interest Rates

    18/03/2026 Duração: 39min

    The trading landscape for European rates has shifted violently in just a matter of weeks. In this episode of The European Market Brief, host Mark Longo sits down with two industry experts to dissect the sudden pivot from rate-cut expectations to a reality where rate hikes are back on the table. Joining the program are Dan Collins, Head of Futures and Options Rates at Aurel Partners, and Andreas Stillert, Vice President and Global Product Lead for Short-Term Interest Rate (STIR) Products at Eurex. Together, they break down the "dual system" of Euribor and ESTR, the dramatic flip in option skew from calls to puts, and how geopolitical turmoil in the Middle East is refueling inflation fears across the pond. In this episode, we explore: The ESTR vs. SOFR Dynamic: Understanding the nuances of the European risk-free rate versus its US counterpart. The Great Pivot: Why the market went from 100% certainty of rate cuts to pricing in potential hikes by year-end. Volatility & Skew: Analyzing the "unthinkable"

  • The Crypto Rundown 311: Bitcoin Rallies & Crypto Volatility Shifts

    17/03/2026 Duração: 16min

    Bitcoin is back on the move, and the options market is telling a new story. Following the FIA Boca conference, we're digging into the data to see if this rally has legs. Topics discussed: Market Update: Bitcoin's run toward $75k. The Greeks: Weekly vs. Monthly volatility shifts. ETF Impact: Analyzing the massive IBIT options volume. Altcoin Rundown: Price action in ETH, SOL, Doge, and Shiba Inu. Brought to you by Amberdata. Visit amberdata.io to download the digital asset data guide.

  • The Option Block 1452: Beaker's Revenge

    16/03/2026 Duração: 56min

    Market volatility is feeling a bit like a Muppet Lab experiment gone wrong. In this episode, Mark Longo is broadcasting from the "Southern Studio" to join "Uncle" Mike Tosaw and Andrew "The Rock Lobster" Giovinazzi for a deep dive into a green Monday that still feels a bit shaky. On the Docket: The Trading Block: A look at the green start to the week, the S&P 500 vacillating around 6,700, and why the VIX is holding steady at 24. Plus, the panel discusses the impact of Middle East tensions and oil supply on the broader markets. The Odd Block: Why did someone bail on a massive long-term call position in KE Holdings (BEKE) after only two days? Also, a look back at a "cemented" winner in Cemex (CX). The Strategy Block: Uncle Mike discusses "Neutral-ish" strategies and how to get creative with strike selection and call spreads when your favorite stocks are underperforming. Around the Block: Predictions for Nvidia earnings, Fed speak, and the "lotto ticket" 30-strike VIX calls expiring this week.

  • Volatility Views 672: Crude vs Bonds vs VIX vs Friday the 13th

    13/03/2026 Duração: 59min

    It's a spooky Friday the 13th on the Options Insider Radio Network! This week, the panel gathers to dissect a market that is being haunted by more than just superstitions. From explosive moves in energy to a bond market that is sending shockwaves through the 60/40 portfolio, the "murderers' row" of vol experts covers it all. On the Docket: The Energy "Memification": Mark Sebastian breaks down the "algo madness" in Crude Oil and why the move to $120 was a mechanical outlier. The Bond Market Cracks: Dr. Russell Rhoads and Jim Carroll discuss why "9 Vol" in the 10-year Treasury is the equivalent of a 40 VIX and what it means for interest rate expectations. VIX as a Passenger: Why the VIX is "yawning" at 27 despite the red across the screens. The Weekly Rundown: Dr. Rhoads reviews a litany of "crappy trades" and highlights a massive 20,000-lot mystery trade in the VIX weeklies. Crystal Ball: Will next week bring a "Jalapeño" spike or a "Vanilla" retreat? The team places their bets on the next VIX settle

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