Synopsis
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.
Episodes
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TWIFO 448: Exploring the Latest Research in Rates, Metals, Energy, Crypto and More...
02/05/2025 Duration: 52minThis episode of 'This Week in Futures Options' features an in-depth discussion with Executive Director and Chief Economist Erik Norland from CME Group. Hosted by Mark Longo, the show dives into various financial markets, highlighting recent movements in futures options, interest rates, energy, metals, and the evolving landscape of cryptocurrencies. Key topics include the dramatic shifts in crude oil, the burgeoning demand in copper, surprising trends in cobalt, and the resurging debate on Bitcoin as a digital gold versus a tech asset. Eric also shares insights from his recent research and hints at upcoming analysis on gold and crypto markets. 01:04 Welcome to This Week in Futures Options 03:38 Interview with Erik Norland 04:15 Movers and Shakers Report 05:40 Market Analysis and Insights 11:14 Volatility Report 14:32 Exploring the World of Rates 21:00 Energy Market Trends and Predictions 25:40 WTI Crude Oil Market Analysis 28:22 Gold Market Insights 33:51 Copper and Cobalt Market Trends 38:40 Exploring the
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The Option Block 1374: Cornering the Market on Love
01/05/2025 Duration: 59minIn this episode of The Option Block, host Mark Longo and co-hosts Henry Schwartz (Cboe) and Mike Tosaw (St. Charles Wealth Management) delve into an eventful week marked by significant tech earnings reports from giants like Microsoft, Meta, Apple, and Amazon. The episode explores the impact of these earnings on the market, including dramatic price movements and volatility discrepancies between near-term and longer-term options. Henry Schwartz provides insights on unusual options activity, including aggressive call buying in Bumble ahead of earnings and speculative trades in Finger Motion Inc. The episode also touches on the upcoming employment report and its potential market impact, offering listeners a comprehensive look at the rapidly evolving options landscape. 01:05 Meet the Hosts 03:16 Thursday Edition Kickoff 05:53 Market Recap and Trading Block 10:03 Earnings Highlights and Market Sentiment 12:48 Listener Engagement and VIX Activity 18:39 Single Stock Movers and Earnings Season 29:31 Market Movers:
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Wide World of Options: Options Buyers vs. Sellers: The Long and the Short of It
01/05/2025 Duration: 28minWhen it comes to options, buying and selling are two sides of the same coin. But what factors might investors consider when deciding to buy or sell? Join OIC Instructor and show host Mark Benzaquen as he welcomes Jessica Inskip of StockBrokers.com for a lively and informative discussion on forecast & objective, implied volatility considerations and the impact of the Greeks.
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The Futures Rundown 32: Defense Against Dark Markets
30/04/2025 Duration: 45minMark Longo, alongside guest Rich Excell, discuss various futures including WTI crude oil, natural gas, and agricultural products. They analyze trends in equities, particularly NASDAQ and S&P, and provide evaluations on the agricultural, commodities, energy, metals, and crypto markets. Notable highlights include the impact of the trade war on different markets, market volatility, key economic indicators, and inflation. 02:40 Welcome to the Futures Rundown Show 03:55 Special Guest: Rich Excell Returns 05:55 Analyzing the Current Futures Market 12:36 Top Upside Movers in Futures 18:09 Top Downside Movers in Futures 23:15 Today's Active Futures Markets 24:13 Gold and Rates Overview 24:40 Top 10 Contracts of the Day 28:15 Retail vs. Institutional Investors 30:44 Year-to-Date Movers and Shakers 38:29 Crypto Market Insights 40:27 Final Thoughts and Upcoming Events
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Options Boot Camp 336: Retail vs. Institutional Options Trading Slugfest
30/04/2025 Duration: 29minIn this episode of Options Bootcamp, host Mark Longo and co-host Dan Passarelli delve into the differences and similarities between institutional and retail options trading. They discuss the growing accessibility and sophistication of retail traders, the challenges and advantages faced by institutional traders, and the surprising overlap in strategies used by both groups. Topics covered include the prevalent use of flex options, the application of exotic options like knockouts and barriers, and real-world examples of massive trades and their outcomes. This episode provides valuable insights for traders looking to understand the broader options market landscape. 01:04 Welcome to Options Bootcamp 05:32 Institutional vs. Retail Options Trading 15:44 Flex Options and Exotic Strategies 21:40 Unusual Activity and Institutional Insights 26:02 Conclusion and Final Thoughts
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The Crypto Rundown 274: Is it Time to Buy Crypto Vol?
29/04/2025 Duration: 47minIn this episode of The Crypto Rundown, Mark Longo and Greg Magadini from Amberdata provide an in-depth analysis of the latest trends and developments in the crypto derivatives markets. They explore the resurgence in Bitcoin's valuation amidst equity market downturns and discuss the shift in Bitcoin's perceived correlation to risk assets versus digital gold. The episode also examines options trading data and volatility indices for Bitcoin, Ethereum, and other altcoins like Solana and XRP. Notably, there's an extensive discussion on Solana's rising interest, especially with its futures and ETFs, and the impact of call selling on its options market. Additionally, the hosts highlight strategies for trading options in these volatile markets and provide insights into long-term setups. 01:05 Welcome to the Crypto Rundown 04:06 Bitcoin Breakdown: Market Trends and Analysis 09:51 Exploring Bitcoin Volatility and Skew 16:42 Deep Dive into IBIT and BITO 21:47 MSTU: The Leveraged Play on Bitcoin 24:08 Understanding V
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The Option Block 1373: The Continental Divide in the Markets
28/04/2025 Duration: 58minThis episode covers a range of financial topics and notable options trades. Hosts Mark Longo, Andrew Giovinazzi (The Option Pit) and Mike Tosaw (St. Charles Wealth Management) discuss trading strategies. Key market events influencing the week are reviewed, including earnings expectations for major tech companies like Microsoft and Amazon. Episode highlights include a brief trivia challenge where Uncle Mike faces off against the Rock Lobster, analysis of significant options trades such as heavy activity in Stone Co (STNE), and market outlooks. The Strategy Block segment focuses on index options and protection strategies for assets. 00:00 Introduction to Options Insider Radio Network 04:12 80s Trivia Challenge 07:12 Market Analysis and Trends 16:37 Earnings and Economic Insights 25:34 VIX and SPY Activity 28:24 Market Overview and Single Names 28:58 Top 10 Contracts: Meta and Amazon 30:11 Tech Giants and Market Trends 31:38 Intel and Palantir Analysis 33:48 Nvidia and Tesla Insights 35:44 Earnings Reports and
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Volatility Views 629: Death of the Danger Zone?
25/04/2025 Duration: 57minIn this episode, host Mark Longo and guests Russell Rhoads and Andrew Giovinazzi discuss the latest developments in market volatility. They explore the data provided by Jim Carroll (the Vixologist) on historical VIX movements, the flattening of the volatility term structure, and notable trading activity in VIX options. The episode highlights changing market sentiments, the impact of recent political announcements on vol, and trading strategies leveraging UVIX and SVIX products. 01:05 Welcome to Volatility Views 01:54 Market Recap and Volatility Trends 05:19 Volatility Review 08:55 Historical Volatility Data Analysis 24:43 Term Structure and Market Predictions 31:02 VIX and Nine-Day Volatility Analysis 32:10 Market Volatility Trends and Indicators 33:30 VIX Options Breakdown 36:06 Russell's Weekly Rundown 43:07 Inverse Volatility Products Discussion 51:37 Crystal Ball Predictions 56:43 Closing Remarks and Resources
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TWIFO 447: Explosions, Sinking Ships, and Shiny Stuff
24/04/2025 Duration: 57minIn this episode host Mark Longo and guest Uncle Mike Tosaw from St. Charles Wealth Management discuss the latest developments in various trading markets. The show covers the explosive activity in natural gas, significant movements in gold and silver, and the volatile trends in the S&P 500 and Treasury notes amid recent tariff announcements. Uncle Mike offers insights into volatility impacts, trading strategies, and the comparative strengths of trading various options. Listener questions are also addressed, adding practical advice and trader perspectives for both novice and experienced investors. 01:03 Welcome to This Week in Futures Options 04:20 Movers and Shakers Report 08:51 Volatility Insights 13:37 Deep Dive into Nat Gas 21:05 Exploring Gold and Silver Markets 29:17 Silver Market Analysis 30:02 Uncle Mike's Silver Insights 33:57 Silver Options Activity 37:35 Interest Rates and the 10-Year Note 44:16 Equities Market Overview 52:02 Listener Polls and Final Thoughts
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The Option Block 1372: Let's Have Some FUN With These Wild Markets
24/04/2025 Duration: 56minIn this episode of The Option Block, host Mark Longo is joined by Henry Schwartz from Cboe and Uncle Mike Tosaw from St. Charles Wealth Management, to dive into various aspects of the options market. The episode covers significant recent events, including options activity in VIX, SPX, IWM, and single names like Funko and SoFi. The discussion also explores the impact of large trades on the market and answers listener questions. Tune in to get insights on market trends, strategy overviews, and expert analysis on the latest developments in the options market. 03:08 Kicking Off the Option Block Show 03:23 Market Recap and Trading Insights 06:01 Trading Block: Latest Market Trends 06:56 Volatility and Market Movements 13:24 Individual Stock Performances 27:10 Earnings Reports and Market Reactions 28:07 Odd Block: Unusual Options Activity 28:53 SoFi Stock Analysis and Market Trends 29:58 Unusual Options Activity in SoFi 33:02 Cemex: Mexican Ready-Mix Concrete 38:30 Funko's Financial Rollercoaster 43:18 Mail Bloc
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The Futures Rundown 31: Even the Pros are Afraid of These Markets
23/04/2025 Duration: 44minIn this episode of The Options Insider Radio Network, host Mark Longo discusses the latest in futures trading, providing listeners with an array of insights and strategies. The show features guest John Seguin, Senior Technical Analyst and Educator at Market Taker Mentoring. Mark and John analyze the current tumultuous state of the markets, touching on commodities, equities, and cryptocurrencies. The discussion covers significant market moves, including wild swings in the S&P, gold volatility, and an extraordinary rise in cryptos. John provides practical trading tips for these volatile times, emphasizing short-term trading and the risks of trading in fast-moving markets. Listeners' questions on trading strategies and specific market predictions, such as gold and Bitcoin, are also addressed in depth. The episode concludes with John sharing his contact information for those interested in his unique charting tools and further guidance. 01:08 Understanding the Futures Markets 01:27 Introducing the Futures Ru
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Options Boot Camp 335: Mysterious and Head-Scratching Options Order Types
23/04/2025 Duration: 40minIn this episode of Options Bootcamp, hosts Mark Longo and Dan Passarelli explore a variety of order types and their strategic uses within options trading. They discuss basic duration orders like 'Good Till Cancel,' immediate orders such as 'Immediate or Cancel' (IOC) and 'Fill or Kill' (FOK), and more complex conditional orders including 'One Cancels the Other' (OCO) and 'Trailing Stop Orders.' The episode also features a vibrant discussion on the potential advantages and risks associated with each order type. Additionally, they delve into the seldom-used but intricate 'Market on Close' (MOC) and 'Limit on Close' (LOC) orders, offering insights into specific use cases. The episode concludes with responses to listener questions and polls revealing current market sentiments and trading behaviors. 01:03 Welcome to Options Bootcamp 01:35 Market Overview and Listener Tips 04:03 Options Drills: Advanced Order Types 06:33 Duration Orders: GTC and Day Orders 10:58 Immediate Orders: IOC and Fill or Kill 15:15 Condi
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TWIFO 446: Historic Volatility in Metals, Energy, Rates and More
18/04/2025 Duration: 33minThis episode of 'This Week in Futures Options' breaks down the latest trading activities in the futures options market, with a particular focus on volatile movements in commodities such as gold and oil. The host, Mark Longo, provides an in-depth analysis of market trends, options trading volumes, and the fluctuations in market volatility. He discusses the significant increases in metals volatility, the dramatic swings in energy markets, and the unprecedented range of activity in treasury yields. The episode aims to help listeners stay informed and make judicious trading decisions in these turbulent times. 01:22 Welcome to This Week in Futures Options 04:03 Movers and Shakers Report 10:40 Volatility Insights 16:00 Energy Market Analysis 23:19 Metals Market Analysis 30:55 Conclusion and Final Thoughts
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The Option Block 1371: We Are All Exhausted By These Markets
17/04/2025 Duration: 01h06minIn this episode, Mark Longo, Henry Schwartz (Cboe) and Mike Tosaw (St. Charles Wealth Management) hosts delve into current market trends, unusual options activity, and listener questions. They discuss VIX movement, the resurgence of gold, and controversial trades ahead of the tariff announcement. New options products, such as the S&P Equal Weighted 500 Index options, are introduced, and there's an examination of activity in Vertex Pharmaceuticals, NeoGenomics, Eldorado Gold Corp, and Dynatrace. The hosts also review audience poll results on zero-day options trading and the viability of certain puts in Apple and Nvidia. 00:00 Introduction to Options Insider Radio Network 01:18 Meet the Hosts and Sponsors 03:16 Market Overview and Trading Block 05:41 Volatility and Market Trends 13:13 Gold and Precious Metals Discussion 15:43 Options Market Activity 30:55 Unusual Options Activity in Vertex Pharmaceuticals 33:48 Biotech and Option Flow Insights 34:51 NeoGenomics Inc: A Rough Year 37:21 Gold's Impressive Run
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The Futures Rundown 30: Gold, VIX, Nasdaq and More Rocking The Markets
17/04/2025 Duration: 17minIn this episode, Mark Longo dives into the latest trends and activities in the futures markets. The discussion highlights gold’s significant 8.5% surge, coffee price increases, and notable movements in other commodities like palladium and copper. The NASDAQ faces a sharp downturn, leading the downside movers alongside cocoa and dry whey. The episode also covers the biggest year-to-date movers, top trading activities for the day, and the impact of current market events. 00:00 Introduction to Options Insider Radio Network 01:08 Understanding the Futures Markets 01:27 Introducing The Futures Rundown 02:40 Weekly Market Analysis 03:56 Trading Pit Insights 05:07 Top Movers of the Week 08:28 Daily Trading Highlights 12:26 Year-to-Date Trends 15:43 Conclusion
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Options Boot Camp 334: Iron Condors, Futures Options and Washington Skullduggery
16/04/2025 Duration: 36minMark and Dan Passarelli from Market Taker Mentoring discuss a variety of listener questions and market scenarios. They cover the recent market activities, including a specific query about the unusual options trading in Apache Corp stock before a major market movement. The duo also delve into the intricacies of trading iron condors and the unique challenges and differences when trading futures options compared to equity options. This episode aims at enhancing listeners' understanding and trading strategies in the volatile and complex options market. 01:04 Welcome to Options Bootcamp 01:37 Special Early Edition and Pro Q&A Highlights 03:41 Listener Mail Call and Market Analysis 04:06 NVIDIA and Apple Options Discussion 08:59 Zero-Day Options and VIX Predictions 12:54 Listener Questions and Market Insights 17:12 Market Chaos and Insider Information 18:25 Trading Pit Anecdotes 23:02 Iron Condors: Strategies and Use Cases 27:14 Futures Options: Key Differences and Challenges 33:06 Conclusion and Resources
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The Crypto Rundown 273: From Bitcoin Surge to Acki Nacki
15/04/2025 Duration: 36minIn this episode, host Mark Longo talks with Mitja Goroshevsky, CEO at GOSH and creator of the new Acki Nacki blockchain protocol. Mitja discusses his background in the crypto industry, the creation and unique features of the Acki Nacki protocol, including its speed, security, and scalability. The episode also covers the recent volatility and trends in major crypto assets including Bitcoin, ETH, Solana, and more. Additionally, it provides insights into the implications of the current market environment for new protocols like Acki Nacki. Mitja also shares upcoming events related to the Acki Nacki launch, including a tournament with substantial prizes. 01:05 Welcome to the Crypto Rundown 04:06 Guest Interview: Mitja Goroshevsky on the Acki Nacki Protocol 22:10 Exploring the Bitcoin Breakdown 28:14 Altcoin Universe and Market Trends 33:01 Conclusion and Upcoming Events
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The Option Block 1370: Arm Wrestling This Wild Market Into Submission
14/04/2025 Duration: 57minMark Longo, Uncle Mike Tosaw, and Andrew 'The Rock Lobster' Giovinazzi analyze large movements in the S&P, trading strategies in volatile markets, a breakdown of options on smaller stocks like ONDS and BYRN, and audience engagement through flash polls and Q&A. Uncle Mike delivers a Strategy Block focusing on protective puts and risk management. The show wraps up with insights into the upcoming trading week and how to stay informed. 01:25 Meet the Hosts and Kickoff 03:02 80s Trivia Challenge 06:29 Market Analysis and Trading Block 11:29 Insights on Tariffs and Market Reactions 18:29 Hedged Equity and Bond Market Observations 23:55 Options Market Volume and Trends 29:52 Antitrust Case and Meta's Future 30:13 Tech Stocks Performance 30:52 Palantir's Wild Ride 31:23 Apple's Market Moves 33:19 Tesla's Market Trends 34:00 Nvidia's Dominance 34:17 Earnings Season Overview 35:38 Unusual Options Activity (ONDS and BYRN) 46:12 Protective Puts in a Volatile Market 50:30 Market Trends and Predictions 55:24 Con
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Volatility Views 628: A Year's Worth Of Madness In One Week
11/04/2025 Duration: 01h01minIn this episode of Volatility Views, Mark Longo, Russell Rhodes, Mark Sebastian (The Option Pit) and guest Mike Dever from Brandywine Asset Management discuss the unprecedented market volatility and massive rallies, reminiscent of 2008 price movements. They also analyze wild swings in the VIX and general stock market, sharing insights and strategies employed throughout the week. Significant trades, including a remarkable 50K June 50-100-150 VIX butterfly, are broken down and examined. Predictions for VIX's future behavior range from 25.69 to 33.29, reflecting varying outlooks on upcoming market conditions. Engaging polls regarding Zero-Day traders' activity levels and notable trade strategies provide a comprehensive view of market sentiment. The episode concludes with final thoughts on the landscape for short stocks versus long vol strategies. 01:05 Welcome to Volatility Views 01:52 Market Recap and Trading Insights 03:19 Special Guests and Market Analysis 06:21 Brandywine Asset Management Overview 07:33 V
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TWIFO 445: We have a lot to talk about...
10/04/2025 Duration: 01h05minIn this episode, host Mark Longo is joined by Dan Gramza from Gramza Capital Management to discuss the latest developments and trends in the futures options market. The show covers a range of topics including the state of the equity markets, volatility in the rates and metals markets, as well as the impact of geopolitical tensions and economic reports. Highlights include a deep dive into the unprecedented activity in gold markets, the unusual behavior of the 10-year treasury notes, and the performance of key commodities such as crude oil and natural gas. The episode provides actionable insights and strategies for traders navigating these tumultuous times. 01:04 Welcome to This Week in Futures Options 04:17 Movers and Shakers Report 09:25 Market Volatility and Equity Insights 31:42 Exploring the World of Rates 32:17 Navigating Interest Rates and Bond Market Dynamics 32:53 Unusual Market Movements and Tariff Impacts 39:18 Gold and Silver Market Analysis 52:39 Energy Market Insights: Crude Oil and Natural Gas