Sinopsis
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.
Episodios
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Options Boot Camp 345: Covered Call Surprises and Bad Mid-Market Fills
02/07/2025 Duración: 27minIn this episode, hosts Mark Longo and Dan Passarelli (Market Taker Mentoring) delve into various aspects of options trading, starting with a discussion on the current conflicts in the Middle East and their potential impact on volatility indices like the VIX. Listener questions are addressed on topics ranging from early call assignments to the appropriate time to venture into calendar spreads. The hosts also explain the concept of risk premium and the importance of liquidity when trading options. Useful advice is given for enhancing options trading strategies, emphasizing the significance of understanding market conditions and the nuances of different trading instruments. 01:04 Welcome to Options Bootcamp 02:40 Listener Mail Call 06:41 Market Taker Question of the Week 09:37 Understanding Risk Premium 13:12 Transitioning to Calendar Spreads 17:27 Handling Early Option Exercises 21:10 Midpoint Order Execution Challenges 25:07 Conclusion and Future Content
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OIC 2025 Conversations: Delisting Foreign Companies For National Security
29/06/2025 Duración: 17minOn this episode we are joined in the Southern Studio during the Options Industry Conference by: Jim Toes, President & CEO, Securities Traders Association Jim and Mark discuss: The nuances involved in deslisting foreign companies in the name of national security. His thoughts on the 0DTE Mag 7 proposal - does it make sense for the options markets? Do we have to worry about transaction taxes making a comeback? What's on the docket for the STA National Convention in D.C.? and much more...
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Volatility Views 638: Paying the Iron Price for VIX Futures
27/06/2025 Duración: 59minIn this episode, Mark Longo and his guests, Russell Rhodes (Kelley School of Business - Indiana University), Andrew Giovinazzi (The Option Pit), and Matt Amberson (ORATS) delve into a week characterized by remarkable market movements and surprising fluidity in volatility levels. The panel discusses specific options trades, the broader economic implications of recent events, and their own strategic trading insights. Punctuated by sharp analyses on macroeconomic indicators and a look-ahead towards earnings season, the hosts engage in rich discussions encapsulating the volatile yet intriguing landscape of the current trading environment. 01:05 Welcome to Volatility Views 01:52 Market Recap and Volatility Insights 03:24 Special Guests and Discussions 06:18 Volatility Review 21:42 Earnings Volatility Report 25:24 Volatility Surface Analysis 32:33 VIX Options Activity Overview 33:02 VIX Top 10 Contracts 35:22 Russell's Weekly Rundown 35:44 Monday's Block Trades 37:37 Tuesday's VIX Trades 39:18 Wednesday and Thur
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TWIFO 455: Shocks and Surprises in Small Caps
27/06/2025 Duración: 40minIn this episode Mark Longo dives deep into the ever-changing futures options landscape. Key topics include the performance analysis of tradable products such as gold, crude oil, and soybeans, with an emphasis on the volatility and top trades in these markets. Additionally, the episode features a special guest, Catherine Yoshimoto from FTSE Russell, who discusses the upcoming Russell Reconstitution. She provides insights into the changes in the market cap breakpoint, the shift of some 'Mag Seven' stocks partially into the value category, and the move to semi-annual reconstitution in 2024. The podcast also touches on various aspects of the Russell 2000 index, including recent trading trends, volatility movements, and notable trading activity. The episode concludes with a detailed explanation of the scheduling and methodology changes coming to the Russell indices. 01:03 Welcome to This Week in Futures Options 04:24 Movers and Shakers Report 12:45 Deep Dive into Equities with Catherine Yoshimoto 13:45 Russell
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The Option Block 1387: Is the Market Drinking the Kool Aid?
26/06/2025 Duración: 59minIn this episode, the hosts dive deep into various market activities and the options landscape. They kick off discussing VIX trends, with Uncle Mike Tosaw (St. Charles Wealth Management) anxiously monitoring for an all-time high in the S&P 500. Flowmaster Henry Schwartz (Cboe) analyzes unusual options activity in Rocket Labs, Sunrun, and Citi, giving insights into recent call buying patterns and market movements. Listener polls on VIX options and market reactions to the Middle East conflict are dissected, revealing diverse audience perspectives. The show wraps up with a look ahead to upcoming market events and strategies. 00:00 Introduction to Options Insider Radio Network 01:04 Meet the Hosts and Special Guests 03:15 Market Updates and Trading Insights 04:39 Uncle Mike's Market Analysis 05:51 Flowmaster's Market Data Insights 06:44 Trading Block: Latest Trends and Trades 22:48 Single Name Volume and Earnings Highlights 29:42 Unusual Options Activity 30:26 Welcome to The Odd Block 31:05 Rocket Labs' Wild
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The European Market Brief 4: European Rates
26/06/2025 Duración: 01h03minThis episode of 'The European Market Brief' introduces listeners to the European derivatives and fixed income markets. Hosted by Mark Longo from the Options Insider Radio Network, the show delves into trading strategies, liquidity, and market trends specific to European rates, comparing them with US counterparts. Guests Russell Rhodes (Indiana University), Rex Jones (Eurex), and James Sewell (Marex) offer valuable insights into products like BUN, BOBL, and SCHATZ futures, and discuss recent market activities, including the impact of potential massive fiscal spending in Germany and ongoing global geopolitical tensions. The episode also covers the transition from LIBOR to alternatives like EUROSTR, providing listeners with a comprehensive understanding of current opportunities and challenges in the European trading landscape. 01:22 Welcome to the European Market Brief 02:32 Episode 4 Kickoff and Listener Appreciation 03:53 Guest Introductions: Russell Rhodes and Rex Jones 07:06 Guest Introduction: James Sewe
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The Futures Rundown 38: Middle East Turmoil: Futures Market Impact
26/06/2025 Duración: 43minThis episode of The Futures Rundown, hosted by Mark Longo and featuring guest Dan Gramza from Gramza Capital Management, delves into the intricacies of the futures markets. Discussions include the volatility in energy markets prompted by Middle Eastern conflicts, with a focus on crude oil and natural gas price fluctuations. The episode covers performance trends in various futures assets, including significant movements in soybean oil, platinum, copper, and precious metals. The hosts also address user questions about the impacts of geopolitical events on market behavior and provide insights on specific commodity trends like coffee and silver. 02:09 Welcome to the Futures Rundown 03:24 Market Analysis with Dan Gramza 06:19 Impact of Mideast Conflict on Markets 12:13 Crude Oil and Natural Gas Insights 18:13 Upside Movers in the Futures Market 21:12 Downside Movers in the Futures Market 21:23 Energy Market Highlights 22:55 Coffee Market Analysis 25:48 Futures Market Activity 29:59 Year-to-Date Market Trends 3
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Options Boot Camp 344: Forgotten Options Terms Part 3
26/06/2025 Duración: 29minIn this episode of Options Bootcamp, Mark Longo and Dan Passarelli dive deep into the world of options trading terminology that has largely been lost to time. They discuss legacy trading concepts like the 'Texas Hedge,' 'price improvement auctions,' and the 'penny pilot program.' They also reminisce about old order types like 'fill or kill' and explore terms like 'screen trader' and 'spot' in pricing. This episode provides a reflective look at how trading practices and slang have evolved over the years, all while engaging the audience with some light-hearted banter and nostalgia. 00:00 Introduction to Options Insider Radio Network 01:36 Meet the Hosts: Mark Longo and Dan Passarelli 03:49 Forgotten Options Terminology 06:48 Exploring the Penny Pilot Program 12:10 Price Improvement Auctions Explained 15:25 The Texas Hedge Explained 18:03 Fill or Kill Orders: A Blast from the Past 21:42 The Evolution of Screen Trading 23:06 Spot Pricing and Old School Lingo 25:12 Remembering Ticket Charges 26:54 Conclusion and
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OIC 2025 Conversations: Has NASDAQ Cracked the 0DTE Nvidia Code?
25/06/2025 Duración: 25minOn this episode, we are joined in the Southern Studio during the Options Conference by: Dave Barrett, Head of Options Strategy at Nasdaq Dave and Mark discuss: Nasdaq's potentially game-changing proposal for 0DTE Tesla, Nvidia and more. Will we finally be able to trade 0DTE options on single-name equities? Let's find out... Plus they discuss: the state of options education FLEX madness The wild response to IBIT options and much more..
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OIC 2025 CONVERSATIONS: Exploring the Dangerous world of Gamma Bombs with SpotGamma
24/06/2025 Duración: 16minDuring the Options Industry Conference, we were joined by Matt Fox, CEO, SpotGamma. Mark and Matt discuss: WTH is SpotGamma? Are 0DTE options just gamma bombs waiting to go off? How should gamma inform your trading? Should we expand 0DTE to equity options? and much more...
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The Crypto Rundown 280: Markets Go Crazy for Circle
24/06/2025 Duración: 38minIn this episode of the Crypto Rundown, host Mark Longo breaks down the latest activity in the crypto derivatives markets and provides insights into the key developments over the past week. The episode dives into the details of Bitcoin and Ethereum's volatile markets, explores recent geopolitical impacts on the broader financial landscape, and examines major moves in assets like Solana, XRP, Doge, and more. Additionally, a significant portion is dedicated to dissecting the stellar IPO performance of Circle Internet Financial, which manages the USDC stablecoin, highlighting its market implications and potential IPO pricing missteps. Amberdata is introduced as a key resource for granular on-chain and market data for those venturing into digital assets. 00:00 Introduction to Options Insider Radio Network 02:23 Diving into the Crypto Rundown 04:47 Exploring the Bitcoin Breakdown 07:07 Analyzing Bitcoin Volatility and Skew 11:39 Hot Trades in Bitcoin Options 15:56 Circle's Explosive IPO 19:24 Early Market Movem
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The Option Block 1386: Fading Vol and Hoarding CRCL
23/06/2025 Duración: 57minIn this episode of the Option Block, host Mark Longo and co-hosts "Uncle" Mike Tosaw from St. Charles Wealth Management and Andrew "The Rock Lobster" Giovinazzi from Option Pit discuss the latest market trends and unusual options activity. The team delves into the market's reaction to U.S. involvement in a Middle Eastern conflict and debates its impact on volatility. They also analyze trading activity in names like Zeta Global Holdings, Appian Corp, and others, while offering strategies for managing these uncertain times. A special '80s trivia challenge takes place, adding a fun twist to the episode. 00:00 Introduction to Options Insider Radio Network 01:28 Meet the Hosts and Co-Hosts 03:43 Trivia Challenge: 1980s Edition 06:42 The Trading Block: Market Analysis 07:10 Geopolitical Events and Market Impact 22:13 Energy Sector and Market Resilience 29:03 Palantir and Circle Internet Group Analysis 30:46 HIMSS and AMD Market Movements 32:18 Tesla's Self-Driving Taxis and Earnings Preview 33:22 Odd Block: Unusua
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Volatility Views 637: A Volatility Triumph for the Ages!
20/06/2025 Duración: 01h02minIn this episode of Volatility Views, the show kicks off with a recap of the Volatility Death Match, discussing the dynamics, competitors, and outcomes of the event. With Mark Longo hosting, the episode features contributions from Jim Carroll, Andrew Giovinazzi, and Russell Rhoads, who analyze recent VIX movements, the impact of geopolitical events, and market trends. They discuss the landscape of VIX options, shifting trading strategies, and the implications of recent market behavior, including a look at ETPs like SVXY and UVXY. This comprehensive discussion provides listeners with valuable insights into volatility trading strategies and market forecasts. 01:05 Welcome to Volatility Views 02:18 Volatility Death Match Recap 10:01 Volatility Review 31:42 VIX Options Overview 32:59 Top 10 VIX Positions Breakdown 35:14 Russell's Weekly Rundown 37:30 Bearish and Bullish VIX Trades 49:16 Inverse Volatility Products Discussion 55:16 Crystal Ball Predictions 01:00:36 Closing Remarks and Contact Information
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The Volatility Death Match: Dr. VIX vs. The Vixologist
19/06/2025 Duración: 01h08minThere can be only one! Two men will enter the cage...but only one will emerge victorious. Who will it be? Tune in to find out as Dr. VIX battles the Vixologist to the death on your favorite volatility topics including: Do after-hours VIX prints obscure what's really happening in the marketplace? Should you ignore them when trading VIX? How should you use constant-maturity futures in your VIX trading? What is the TRUE over/under level for VIX that you need to pay attention to in your trading? What levels really matter and which are just marketing hype? Can you use technical analysis in your VIX trading? Should you? What is the point of VYLD? How should you incorporate VIX 9D into your volatility trading? and much more...
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The Futures Rundown 37: Crude, Crypto, Metals and a Delicious Futures Breakfast
18/06/2025 Duración: 24minIn this episode of the Futures Rundown from Options Insider Radio Network, host Mark Longo and guest Kevin Green from Schwab Network dive into the dynamic world of futures trading. They discuss the current volatility in the futures market, driven by recent geopolitical events and energy market fluctuations. Key highlights include the impact of soybean oil and crude oil due to geopolitical risks, the performance of key commodities and precious metals, and a detailed analysis of the top gainers and losers year-to-date. Additionally, they explore the changes in market sentiment and trading volume across various futures contracts. 02:00 Welcome to the Futures Rundown 02:09 Market Analysis and Trading Insights 04:11 Top Movers in the Futures Market 05:17 Upside and Downside Movers 16:49 Year-to-Date Trends in Futures 21:53 Conclusion and Farewell
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Options Boot Camp 343: Forgotten Options Terms Part 2
18/06/2025 Duración: 48minIn this episode of Options Bootcamp, hosts Mark Longo and Dan Passarelli delve into various lesser-known and forgotten options trading terms. They start by reminiscing about their experiences on the trading floor, sharing definitions and history behind terms like Delta Neutral, Leaning on Orders, Squawk Box, and ARB Clerk. They also discuss the significance and evolution of these terms and how they're viewed and used in modern-day trading. The episode further explores the influence of current events on market volatility and polls listeners on related topics. Throughout, they encourage listeners to share their own forgotten options terms to potentially include in future episodes. 01:05 Welcome to Options Bootcamp 03:10 Options Drills: Strategies and Techniques 04:30 Forgotten Options Terminology: Part 2 05:01 Exploring Section 1256 Contracts 10:19 The Concept of Delta Neutral 16:23 Leaning on Orders and Other Trading Floor Terms 23:45 More Lost Trading Terms 23:59 The Antiquated Language of Trading Pits 25:
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OIC 2025 Conversations: The Mysteries of 0DTE Backtesting with Option Omega
18/06/2025 Duración: 18minJoin us as we explore the mysteries and nuances that emerge when trying to backtest 0DTE options strategies with Troy McNeil, Co-Founder of Option Omega.
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OIC 2025 Conversations: Talking 0DTE, 24-Hour Trading and Spooky Volatility with Tradier
17/06/2025 Duración: 22minWe are joined in the Southern Studio by: Kevin “Lex” Luthringshausen, SVP Strategic Partnerships, Tradier Peter Laptewicz, President of Brokerage, Tradier Mark, Lex and Peter discuss: How the recent volatility may be spooking some of tradiers more aggressive clients. The evolving 0DTE landscape and what the next products should be. Should options go 24/5 or even 24/7? What is Tradier doing to raise the bar for options education? and much more...
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The Crypto Rundown 279: Crypto Wives and the Rise of MTPLF
16/06/2025 Duración: 36minIn this episode of 'The Crypto Rundown,' hosted by Mark Longo, the show dives into the latest trends and developments in the crypto derivatives markets. Key topics include an insightful discussion with Bill Ulivieri from Cenacle Capital Management about Bitcoin Treasury operations and their growing significance, as well as Metaplanet's aggressive Bitcoin acquisition strategy. The episode also covers updates on major cryptocurrencies like Bitcoin, Ethereum, and XRP, including notable market movements and volatility trends. The conversation extends to broader adoption of cryptocurrencies by institutional players and the latest updates on crypto ETFs like IBIT and MSTU, highlighting a notable surge in trading activity. Tune in to stay informed about the dynamic world of crypto. 01:05 Welcome to the Crypto Rundown 02:36 Guest Introduction: Bill Ulivieri 05:25 Bitcoin Breakdown 08:12 Volatility and Market Trends 11:54 Exploring IBIT and MSTU 18:20 Altcoin Universe 18:34 Market Cap Overview 19:56 XRP and Persona
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The Option Block 1385: China Bulls and Fading Middle East Volatility
16/06/2025 Duración: 58minThis episode of the Option Block kicks off with the hosts Mark Longo, Uncle Mike Tosaw from St. Charles Wealth Management, and Andrew ‘the Rock Lobster’ Giovinazzi from The Option Pit discuss the impact of the recent Middle East conflict on the market. They note that markets are rallying despite the conflict, suggesting a 'fade the spike' approach might have been profitable. The show then delves into unusual options activities, including large trades in BEKE, ADM, and BILI, indicating bullish sentiments in Chinese equities. Uncle Mike provides a strategy segment focused on 'box spreads' and teases further exploration in the next episode. The episode concludes with the hosts sharing what they will be watching in the markets until the next show. 01:07 Meet the Hosts and Show Overview 03:05 The 80s Trivia Challenge 04:20 Trivia Challenge Results and Market Analysis 06:54 The Trading Block: Market Trends and Insights 10:07 Middle East Conflict and Market Reactions 14:04 Listener Interaction and Market Updates