The Options Insider Radio Network

  • Autor: Vários
  • Narrador: Vários
  • Editora: Podcast
  • Duração: 2271:54:01
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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 European Market Brief 19: Rocking & Rolling in Rates

    25/02/2026 Duração: 01h03min

    The trading day doesn't start at the bell—it starts with the data. In this episode of The European Market Brief, Mark Longo heads across the pond to dive deep into the mechanics of the European rates market. He is joined by an expert panel featuring Dr. Russell Rhoads (Indiana University), Rex Jones (Eurex), and Mingyue Xin (Deutsche Bank) to break down one of the most critical yet misunderstood periods in the derivatives calendar: The Roll. Inside this episode: The "Jelly Roll" Debate: Why the transition from March to June is a "subculture" unto itself in the rates market. The Art & Science of the Roll: Finding the "sweet spot" for execution and avoiding the pitfalls of being a late roller. US vs. EU Rates: Structural differences in delivery dates and how they impact your portfolio. Basis Trading 101: Why hedge funds are fixated on the basis trade and how to understand "Net Basis." Cheapest to Deliver (CTD): Understanding the delivery basket and the conversion factor for Bund, Bobl, and Schatz.

  • The Hot Options Report: 02-24-26

    24/02/2026 Duração: 13min

    Is the AI chip war shifting? On today's Hot Options Report, Mark Longo breaks down a wild Tuesday on the tape where AMD stole the spotlight with a massive 9% rampage following a blockbuster deal with Meta (META). While the "Golden Sweeps" at The HotOptionsReport.com flagged seven-figure bets in Nvidia (NVDA) and the SPX, all eyes were on the dramatic recovery in Hims & Hers (HIMS). We dive into the Top 10 most active options chains to see who is buying the dip and who is fading the rip: HIMS Post-Earnings: After a "sweaty" morning drop to $13.75, HIMS battled back. We analyze the 25,000 $16 calls expiring Friday. AMD's Meta Moment: A $17.25 gain in a single day. Was the paper buying or selling the 187.5 puts? The Tech Giants: Exploring the "freight train" momentum in Apple (AAPL) and the struggle for Palantir (PLTR). Tesla (TSLA) at #1: Traders pile into the 400-strike "par" puts as Tesla reclaims the top spot. The Golden Sweep Newcomer: Why is someone dropping over $1M on EWY (South Korea ETF)

  • The Hot Options Report: 02-23-26

    23/02/2026 Duração: 12min

    Market volatility took center stage this Monday as traders pivoted their focus toward macro indexes, leaving single-name options volume fighting for the spotlight. Join Mark Longo of the Options Insider Radio Network as he breaks down the top 10 most active names on the tape. From Tesla's battle at the $400 level to Microsoft's continued struggle and Nvidia's defiance of the broader sell-off, we analyze the specific strikes and paper flow dominating the day. Discover where the "smart money" was overriding calls in Alphabet and why Netflix bulls are taking a speculative flyer on a recovery. In this episode, we cover: The surprise volume leader outshining Nvidia. Tech heavyweights: Meta, Amazon, and Apple's intraday swings. The "Token Dividend Play" making a splash in J&J. Deep dives into Palantir and the impact of new Monday weeklies. Get the data you need to "kick the tires and light the fire" on your trading strategy. Check out more at: TheHotOptionsReport.com Upgrade your trading game: TheO

  • The Crypto Rundown 309: Is Skew Showing the Sky is Falling?

    23/02/2026 Duração: 32min

    Is the crypto "retail wave" finally drying up? This week on The Crypto Rundown, Mark Longo and Greg Magadini (Amberdata) dive into a "blood-red" market as Bitcoin slips below $65k and Ethereum struggles to hold key support levels. We break down the dramatic shift in Bitcoin (BTC) and Ethereum (ETH) skew, analyzing why the 25-delta risk reversal is hitting extreme negative levels not seen since the FTX or Terra Luna collapses. Key Topics Covered: The "Incremental Buyer" Problem: With VCs and ETFs already positioned, who is left to buy the dip? Volatility Analysis: Why implied volatility (IV) remains "hunched" while skew is screaming "danger." Ibit Options Impact: Analyzing the 1 million contracts per day milestone and the heavy flow on 35-strike puts. Altcoin Universe: Deep dives into Solana, Dogecoin, and the "wreckage" in Ethereum (ETH). MSTR & MSTU Strategies: Managing "lottery trades" when the underlying goes underwater. Resources: Get granular on-chain data: Amberdata Follow the netw

  • The Option Block 1446: Easy Rice, Bloody Markets and Looming Canadian Invasions

    23/02/2026 Duração: 58min

    The sea of green has officially evaporated. On this episode of The Option Block, the All-Star Panel breaks down a brutal Monday as markets leak oil and geopolitical risks shift from the Middle East to Mexico. From the "0DTE-ification" of the major indices to unusual moves in the real estate sector, we're breaking down all the action from the pits to the screen. The Trading Block: Weekend Risk Realized: Market bloodletting in the S&P, Dow, and NASDAQ. Is this a "buy the dip" opportunity or the start of a volatility regime shift? VIX & Vol: Analyzing the VIX cash surge to 21.5 and the backwardation in the front-end term structure. Tech Churn: Why AI has become a "millstone" around the neck of the Mag Seven. Earnings Intel: Pricing the "Pizza Vol" for Domino's ($DPZ) and the drama in Himms ($HIMS). The Odd Block: Compass ($COMP): A familiar face returns with a massive 16,000-contract put buy. Are they hedging or bracing for a real estate wreck? PayPal ($PYPL): Takeover rumors swirl as the s

  • The Hot Options Report: 02-20-26

    20/02/2026 Duração: 12min

    The options tape was scorching this Friday as we wrap up a dense week of trading. Host Mark Longo breaks down a massive session where it took over 714,000 contracts just to crack the Top 10. From Nvidia's staggering volume at the $190 strike to Alphabet's 4% rally that erased its yearly losses, we analyze the biggest movers in the game. We dive deep into the intraday volatility of Micron, the "untamed beast" of 2026, and track the heavy flow in Tesla's $415 calls. Whether you're tracking Palantir, AMD, or Microsoft, we highlight where the smart money was sweating and where the premium buyers got burned at the close. In this episode: The Top 10 Countdown: A breakdown of the most active underlying products today. Winner of the Day: How Alphabet (GOOGL) bulls capitalized on the $310 calls. The Nvidia Monster: Analyzing the 515,000 contracts traded at the $190 strike. Weekly Recap: Insights from the Volatility Death Match and what's next for the crypto and equity markets.

  • Volatility Views 669: Flashing Warning Signals?

    20/02/2026 Duração: 56min

    Is the market teetering on the edge of a "seminal collapse"? On this episode of Volatility Views, Mark Longo, Mark Sebastian (the "Meatball"), and Russell Rhoads (Dr. VIX) break down a chaotic week in the vol markets. From the aftermath of a legendary "V-Death Match" on the Pro network to the Supreme Court's ruling on tariffs, the team explores why the VIX is hovering near 20 despite indices sitting near all-time highs. Inside This Episode: The Volatility Review: A deep dive into the "weird" market reaction following the Supreme Court tariff ruling, spicy PCE data, and the decoupling of the Mag Seven from the rest of the market. The Private Credit Fiasco: Mark Sebastian sounds the alarm on cross-asset margining, Bitcoin's "teetering" state, and the potential for a Michael Saylor "apology tour." The VIX Mothership: Analysis of the massive call buying in March, April, and even May 70/80 strikes. Is someone hedging for a black swan? Russell's Weekly Rundown: Breaking down the "best option trade ever seen

  • TWIFO 485: From the Equity Put Spread Craze to Meme Stock Metals & Crude's Inflection Point

    20/02/2026 Duração: 51min

    In this action-packed episode, Mark Longo and Scott Bauer of Prosper Trading Academy dissect a market where standard playbooks are being thrown out the window. From "meme-style" moves in Silver to heavy hedging in the S&P 500, we break down the institutional flow and retail frenzy. The Equity Craze: Why everyone has put spreads on the brain. We analyze the heavy volume in the E-mini S&P 500 March 6600/6500 vertical and the "frothy" volatility return to the Russell 2000. Energy Inflection: WTI Crude is at a crossroads. We discuss the $5-$10 move potential based on geopolitical headlines and the "Grand Slam" reversal in Natural Gas. Meme Stock Metals: Triple-digit volatility in Silver has transformed it into a meme-trader's paradise. Are the April 125 calls a total YOLO, or is there method to the madness?

  • The Hot Options Report: 02-19-26

    19/02/2026 Duração: 10min

    On today's episode of The Hot Options Report, Mark Longo breaks down a unique session where volume wasn't "explosive," but the nature of the flow was certainly "weird and wild." From a massive influx of deep-in-the-money (ITM) puts to the "Petroleum Div Day" dominating the energy sector, we're dissecting the tape to see where the big money is moving. On the Docket Today: The Dividend Play: Why Shell (SHEL) and BP hit the top 10 with massive in-the-money call action. Crypto & MSTR: MicroStrategy catches a bid—is the $4.00 premium for the 130 calls a smart play or a sacrifice to the crypto gods? The Deep ITM Put Mystery: Unusual heavy put flow in AMD, Palantir (PLTR), and Amazon (AMZN). The Big Three: Breaking down the late-session fades in Apple (AAPL), Microsoft (MSFT), and Tesla (TSLA). Nvidia (NVDA): Sitting at the #1 spot on light volume—can it threaten the 190 strike before the week is out?

  • The Option Block 1445: FIG's Post-IPO Rollercoaster & The Silver Magnet

    19/02/2026 Duração: 57min

    In this episode of The Option Block, Mark Longo, Mike Tosaw (St. Charles Wealth Management) and Kevin Nichols (Cboe Global Markets) to step into the arena. With the VIX flirting with the 21 level, the panel explores whether the bullish run is finally hitting a wall and if it's time to embrace the "dark side" of the markets. On the Docket: The Trading Block: A look at the S&P 500, Nasdaq, and Russell 2000. Plus, why everyone—from the pros to the "amateurs"—is suddenly obsessed with Gold and Silver. The Odd Block: Unusual activity in Figma (FIG) following earnings and a look at the massive flow in Newmont (NEM). The Mail Block: Mike Tosaw faces the heat from the Pro Chat: Will he ever buy SLV again, or is he waiting for the 30-handle? Around the Block: Predictions for Tesla (TSLA) as it gets squeezed between moving averages and what to watch for the rest of the week. Go to https://tastytrade.com/podcasts

  • The Futures Rundown 66: The Madness of Metals, Crypto, Cocoa and More

    19/02/2026 Duração: 34min

    The futures markets are living multiple lifetimes in just a few short weeks! Join host Mark Longo from the Options Insider Radio Network and special guest Carley Garner of DeCarley Trading as they navigate the volatile landscape of the early 2026 markets. In this episode, the duo dives deep into the "symmetrical madness" of the week, analyzing why thin markets like Oats and Orange Juice are leading the charge while heavy hitters like Bitcoin and Cocoa face massive pullbacks. Is the Bitcoin double-top signaling a broader correction for the Nasdaq and S&P 500? And is Coffee poised to follow in the footsteps of Cocoa's historic boom-and-bust cycle? Highlights include: The Trading Pit: Breaking down the 16% surge in OJ and the surprising resilience of Oats. Crypto & Equities: Carly discusses the correlation between Bitcoin and the Nasdaq—and why $30,000 might be on the horizon. The Ags & Softs: A deep dive into the 45% year-to-date crash in Cocoa and why "Coffee is the new Cocoa." Energy Updat

  • The Hot Options Report: 02-18-26

    19/02/2026 Duração: 12min

    The Vol Death Match Hangover: Micron Rallies While Zero-Day Sellers Feast One day after the legendary Vol Death Match 2.0, the options tape is heating up with massive moves in semi-conductors and a heavy dose of 0DTE (Zero Days to Expiration) risk harvesting. In this episode of the Hot Options Report, Mark Longo breaks down the top 10 most active names dominating the tape, including a wild 33% year-to-date run for Micron (MU) and the "artist formerly known as Facebook" showing resilience despite regulatory headlines. On Today's Countdown: The Semi Surge: Why Micron is the talk of the tape after a $21 leap and what it means for those $420 calls. Big Tech Breakdown: Analyzing the flow in Meta, Apple (AAPL), and Amazon (AMZN) as Warren Buffett trims his stakes. The 0DTE Game: Are traders getting bold? We look at the massive selling of near-dated premium in Microsoft (MSFT), Tesla (TSLA), and Nvidia (NVDA). Dark Side Activity: Why the $195 Puts were the "Hot Option" in AMD today. Dividend Distortions: A

  • Options Boot Camp 378: The Real-World Costs of Hedging

    18/02/2026 Duração: 51min

    On this episode of Options Boot Camp, hosts Mark Longo and Dan Passarelli break down the real-world price tag of portfolio protection. Using current market examples, they walk through what it costs to hedge SPY with puts across different strikes and timeframes, why "insurance" isn't free, and how volatility levels can dramatically change the math. They also tackle the evergreen debate: SPY/SPX puts vs VIX calls—and why VIX products may behave more like a speculative "kicker" than a true one-to-one hedge. Plus, a listener-driven roundtable on hedging with gold and metals, the clash between 0DTE and potential 24/5 trading, and a practical primer on volume vs open interest (and why the bid/ask spread often tells the real story). Key topics include: The real cost of hedging SPY (near-term vs longer-dated puts) Strike selection, "deductibles," and the insurance analogy How elevated volatility impacts hedge pricing VIX calls as a hedge (and why timing matters more than ever) Hedging with metals: correlati

  • The Hot Options Report: 02-17-26

    18/02/2026 Duração: 14min

    The trading week kicks off with a high-velocity tape as Nvidia, Tesla, and Apple dominate the options chains. In this edition of The Hot Options Report, Mark Longo breaks down a truncated holiday trading week where it took over 450,000 contracts just to break into the Top 10. We analyze the heavy put action in Nvidia (NVDA), the battle for the "Par Strike" in Tesla (TSLA), and a massive $8 recovery in Apple (AAPL). Today's Highlights: The Big Three: Deep dives into NVDA, TSLA, and AAPL. Tech Pressure: Why Microsoft and Alphabet are struggling with weekly expirations. The Dividend Play: Why Conoco Phillips (COP) made a rare appearance in the Top 10. 0DTE Madness: Breaking down the high-risk flows in Amazon and Palantir. For more options data, go to TheHotOptionsReport.com.

  • The Hot Options Report: 02-13-26

    13/02/2026 Duração: 14min

    Nvidia pulls back, Coinbase pops, and the "Fruit Company" faces a software horror show. It's Friday, February 13th, 2026, and the options market is living up to the date. In this episode of The Hot Options Report, we break down a high-volume session where it took over 700,000 contracts just to crack the Top 10. We dive deep into the unusual activity in Microsoft, the massive earnings-driven move in Coinbase, and why "Paper" was sweating on Tesla's $420 calls. In this episode, we cover: Nvidia ($NVDA): Coming back to earth after hitting $193—is the AI honeymoon over? The Crypto Duo: Coinbase ($COIN) and MicroStrategy ($MSTR) catch fire as crypto sentiment shifts. Apple ($AAPL): Regulatory headwinds and Siri delays lead to its worst slide since April. The Dividend Plays: Why UPS and Chevron ($CVX) distorted the volume leaderboard today. Microsoft ($MSFT): "Mr. Softy" struggles to find green despite a wild 405-strike battle. For more options data, go to: TheHotOptionsReport.com. ANNOUNCEMENT: Don't

  • Volatility Views 668: CPI Spikes, AI Jitters, and the Road to Vol Death Match 2.0

    13/02/2026 Duração: 01h03min

    The "Buy the Dip" mentality was put to the test this week. Host Mark Longo is joined by Dr. Russell Rhoads (the "Once, Future, and Present Dr. VIX") and Andrew Giovinazzi (The Rock Lobster) to break down a wild week that saw the VIX touch the 22 handle before a massive intraday reversal. In this episode, the crew dives into: The Volatility Review: Analyzing the impact of the rare midweek non-farm payrolls and the latest CPI data on market sentiment. AI Narrative Shift: Is the "AI is good for everything" bubble finally bursting? A look at multiple compression in the Mag Seven and the "Grizzly Adams" view of the market. Russell's Weekly Rundown: Dr. Russell Rhoads breaks down the "clown show" trades in the weeklies, the impact of the VIX bid-ask spread on morning spikes, and why the current correlation data suggests 2026 is behaving like a different beast. Crystal Ball: The team places their bets on where the VIX will settle next week as we head into a holiday-shortened trading session. Plus: A massiv

  • TWIFO 484: Equity Corrections and Silver Stampedes

    13/02/2026 Duração: 42min

    Is the early 2024 equity rally finally facing a reality check? Join Mark Longo and Kevin Green, Senior Markets Correspondent at Schwab Network, as they break down a wild week in the futures options markets. From "rotation trades" in the indices to the aftermath of a "Black Friday" in silver, we cover the moves that matter. In this episode, we dive into: Equities: Is the recent pullback a healthy correction or the start of something deeper? We analyze the massive 0DTE flow in the E-mini S&P 500 and a curious 22-day downside hedge in the 6,500 puts. Plus, a look at the carnage in small caps and concerning trends in commercial real estate. Metals: We recap the "blow-off top" in Silver. With implied volatility hitting near triple digits, is the stampede over, or are traders just reloading for the next run? Kevin shares his boots-on-the-ground experience from the physical silver market. Agriculture: Soybeans are back on the menu! We explore the spike in July soybean calls and how South American productio

  • The Hot Options Report: 02-11-26

    12/02/2026 Duração: 13min

    Market volatility is surging. Today, it took 700,000 contracts just to break into the Top 10. Mark Longo breaks down the massive order flow in Apple, Nvidia, and Coinbase as the tech sector faces a sea of red. Key Highlights: Apple (AAPL): FTC hurdles and AI delays trigger a 5% drop. Crypto Heat: Massive volume in Coinbase and MSTR ahead of earnings. In-The-Money Puts: Why Palantir and Amazon are seeing "meaty" bearish paper. Top Performers: A deep dive into Nvidia and Tesla's dominant options tape. Data & Pro Access: TheHotOptionsReport.com | TheOptionsInsider.com/Pro

  • The Option Block 1444: Turning Red

    12/02/2026 Duração: 56min

    The sea of green has finally evaporated. On this episode, the All-Star Panel breaks down a brutal day of red on the screen as the S&P 500 flirts with its yearly open. From the sudden VIX pop to the "0DTE-ification" of single stocks, we're breaking down all the action from the pits to the screen. The Trading Block: Market Bloodletting: The S&P, Dow, and NASDAQ are all in the red. Is this a "Buy The Dip" opportunity or the start of a volatility regime shift? VIX Hits 20: Analyzing the spike in volatility and the VIX Decomposition—is the whole surface lifting, or are we just sliding down the skew? 0DTE Dominance: New data reveals that 50% of Tesla's (TSLA) volume is now Zero Days to Expiration. We discuss the impact of daily expirations on single-stock liquidity. Big Tech Carnage: Breaking down the moves in Apple (AAPL), Microsoft (MSFT), and Nvidia (NVDA). The Odd Block: Dollar General (DG): Unusual call activity in the "stealth banger" of the year. AES Corp (AES): Why traders are flocking

  • The Futures Rundown 65: The Year of Living Dangerously In Gold

    12/02/2026 Duração: 43min

    Is the "Gold Rush" of 2025 just the beginning? In this episode of The Futures Rundown, host Mark Longo is joined by Dana Samuelson, Founder and President of the American Gold Exchange, to dissect one of the most unprecedented years in the history of precious metals. From gold shattering all-time highs to silver's "Black Friday" volatility and the rise of the "debasement trade," we dive deep into the forces driving the 2026 commodities market. Whether you're a seasoned futures trader or a physical metal collector, this episode provides the expert insight you need to navigate these "scary" markets. In This Episode, We Explore: The Unprecedented Bull Run: Why Dana Samuelson, a 46-year market veteran, calls the recent action in gold and silver unlike anything seen since 1980. The "Debasement Trade": How global tariffs, the shifting status of the US Dollar, and central bank demand are fundamentally altering gold's value proposition. Silver's Wild Ride: A look at the "Indian Influencer" effect, industrial dem

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