

The Options Insider Radio Network
The Options Insider Radio Network
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
Mentioned books

Mar 16, 2026 • 56min
The Option Block 1452: Beaker's Revenge
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.

Mar 13, 2026 • 60min
Volatility Views 672: Crude vs Bonds vs VIX vs Friday the 13th
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 settlement. Featuring: Host: Mark Longo, The Options Insider The Greasy Meatball: Mark Sebastian, Option Pit The Professor Dr. VIX: Dr. Russell Rhoads, IU Adjunct Professor The Vixologist: Jim Carroll, Ballast Rock Private Wealth

Mar 13, 2026 • 8min
The Hot Options Report: 03-12-26
With the industry returning from the major futures and options conferences, the market is back to business—and the business of the day is deep in-the-money puts. Mark Longo breaks down a high-volume Thursday where several tech giants saw massive, meaty put flow that suggests traders are positioning for a shift. On today's report, we analyze the top 10 most active names, including: Nvidia (NVDA): The reigning king of the tape sees heavy action at the 185 strike. Are traders rolling the bones on a Friday recovery? Tesla (TSLA): A rough day for the bulls as Tesla breaks the psychological par strike ($400) to the downside. We look at the 100,000 contracts at the $400 level. The Tech Sell-off: Dissecting the heavy put volume in Microsoft (MSFT), Apple (AAPL), Amazon (AMZN), and Oracle (ORCL). The Long Game: A bizarre and massive trade in Ondas (ONDS) with an expiration nearly two years away. Speculative Moves: Checking the pulse on Palantir (PLTR) and MicroStrategy (MSTR) as they fight for footing. Wrap up your trading day with the data that matters. Explore more at: TheHotOptionsReport.com Upgrade your edge: TheOptionsInsider.com/Pro

Mar 13, 2026 • 30min
TWIFO 488: A Historic Week for Crude Oil
This week, we aren't just talking about movers—we're witnessing a historic disruption in the energy markets. We dive deep into the explosive price action and triple-digit volatility in WTI Crude Oil, where mining in the Straits of Hormuz and tanker attacks have sent WTI and Brent soaring. Is the "par" level the new floor? We break down the massive volume in May 95 calls and the 120-strike volatility crush. In this episode, we cover: Movers & Shakers: Why the light side is dominating with double-digit gains in Energy and Platinum, while Financials lead the slide to the dark side. Equities: A "banger week" for the E-mini S&P 500. We analyze the massive 23% bid in put skew and the 6500/6400/6300 put fly lighting up the tape. Small Caps: Is the rotation dead? We look at the spike in Russell 2000 volume as it flirts with negative territory for the year. Energy Deep Dive: A "ridiculous" amount of volume in Crude. We look at the 95/Par vertical and what December 120 calls tell us about the geopolitical outlook. Don't miss this breakdown of the volatility swings, skew changes, and hot trades at CME Group.

Mar 13, 2026 • 60min
The Option Block 1451: Crude, Vol and Predictions...Oh My!
Strap in for a high-octane episode of The Option Block as the All-Star panel breaks down a "day trader's paradise." Host Mark Longo is joined by "Uncle Mike" Tosaw (St. Charles Wealth Management) and "The Flowmaster" Henry Schwartz (Cboe Global Markets) to navigate a market defined by red screens, spiking crude oil, and the return of prediction markets. In this episode, we dive into: The Trading Block: A look at the "wild and wooly" week in the markets, from the S&P 500 hovering at 6,700 to VIX hitting 35. The Prediction Game: Why binary event contracts on XSP are the "new hotness" and how Cboe is simplifying the options landscape for new traders. The Odd Block: Unusual activity in Mosaic (MOS), Barclays (BCS), and a massive 50% jump in Lightwave Logic (LWLG). Mail Block: The panel answers your questions on the Iran conflict's market impact and whether VIX 70 calls are a genius hedge or "WTF" territory. Around the Block: Predictions for the week ahead, including earnings from Adobe and Beyond Meat, and why "the only source of unbiased news is the S&P 500 chart."

Mar 12, 2026 • 25min
Options Boot Camp 381: We've Got Two Questions...One for Each of Ya!
To maximize your reach, I've tailored these descriptions to how people actually find content on each platform. For Libsyn, the focus is on scannability for podcast apps and Google search. For YouTube, the focus is on "Watch Time" signals, Chapters, and keywords that trigger the video algorithm. 1. Libsyn Show Description (RSS & Podcast Apps) Focus: Clear summary, scannability, and high-value links. Options Boot Camp 381: We've Got Two Questions...One for Each of Ya! Is the "Wheel" turning against you? Are you obsessing over direction while the pros look elsewhere? In this episode of Options Boot Camp, your drill instructors Mark Longo and Dan Passarelli tackle a rapid-fire mail call to help you navigate the complexities of the options market. From the viability of the Ratio Stock Repair strategy to the psychological divide between beginner and veteran traders, we break down the tactics you need to survive and thrive. We also dive deep into the changing landscape of Crypto Options, specifically how the explosion of IBIT (BlackRock's Bitcoin ETF) has shifted market skew to look more like traditional equities—and what that means for your income-generating strategies. In This Episode: The Wheel Strategy: Is Ratio Stock Repair the best escape hatch for a losing wheel trade? Beginner vs. Pro: Why novices fixate on Delta while experts prioritize Volatility and Time. 0DTE Popularity: Analyzing the massive liquidity surge in equity zero-days. The 90% Myth: Debunking the classic "options expire worthless" statistic. Time Spreads (Calendars): The one thing most traders get wrong about Volatility Term Structure. Bitcoin Evolution: How IBIT has "democratized" Bitcoin options and changed the skew. Check out more from the Options Insider Radio Network: Pro Trading Crate: theoptionsinsider.com/pro Education & Brokerage: tastytrade.com/podcasts Advanced Training: markettaker.com

Mar 9, 2026 • 53min
The Option Block 1450: Live from the FIA Boca Conference 2026
Volatility is back with a vengeance! In this special episode, Mark Longo reports live from the FIA Boca Conference 2026 while the markets take a nosedive. As the S&P 500 flirts with red for the year and the VIX threatens the 30-handle, the All-Star panel breaks down the chaos. Joining Mark to dissect the madness are Andrew "The Rock Lobster" Giovinazzi from OptionPit.com and "Uncle" Mike Tosaw from St. Charles Wealth Management. On This Episode: The Trading Block: A deep dive into the "Day Trader's Paradise." We discuss WTI breaking the $100 par strike, the resilience of the S&P 500, and why the small-caps (IWM) are turning back into a pumpkin. VIX Watch: Analyzing the massive paper hitting the tape, including heavy activity in the April 60 calls. The Odd Block: The Rock Lobster spots unusual activity in Wells Fargo (WFC), a massive closing trade in United Airlines (UAL), and the wild 38% surge in Hims & Hers (HIMS). Strategy Block: Uncle Mike schools us on Covered Call management in a falling market. Do you sit on your hands, buy a protective wing, or roll for time? Around the Block: Predictions for the rest of the week, including the "daily miasma" of oil prices and the "dark horse" potential of Silver and Gold. Featured Broker: Tastytrade.com/podcasts Go Pro: TheOptionsInsider.com/Pro

Mar 6, 2026 • 14min
The Hot Options Report: 03-06-26
The market may be melting down, but the options tape is heating up! Join us for the Friday, March 6th edition of The Hot Options Report as we wrap up a volatile week. We're diving deep into the "1K Oddball Scan" to uncover massive spreads hidden outside the major indexes and breaking down the massive volume moving the needle in the top 10 most active symbols. In this episode, we cover: The 1K Oddball Scan: Why SM, SMCI, SILJ, ORCL, and SMR are lighting up the scanners with massive ratio spreads. Marvell's (MRVL) Earnings Banger: A nearly 18% rally despite a broader market sell-off—did the $90 calls pay off? The "Almost Index" Volume: Why SoFi (SOFI) is seeing massive 160k contract prints on the March 23 calls. Tech Under Pressure: Breaking down the late-day action and "worthless" sweeps in Nvidia (NVDA), Apple (AAPL), and AMD. Tesla (TSLA) & Amazon (AMZN): A look at the battle for the "Par" strikes as the week comes to a close. Whether you're tracking golden sweeps or hunting for stealthy badges, we have the flow you need to stay ahead. Visit TheHotOptionsReport.com for real-time scans and professional options data.

Mar 6, 2026 • 1h
Volatility Views 671: Revenge of the Loggins?
The VIX is screaming higher, hitting a 27 handle as the "Danger Zone" officially reopens. On this episode of Volatility Views, Mark Longo is joined by Russell Rhoads, Andrew Giovinazzi, and Matt Amberson to break down a chaotic week fueled by active conflict in the Middle East and a "charitably termed" terrible non-farm payrolls number. Plus, the legend himself, Kenny Loggins, returns to the program as volatility looks skyward. On this episode, the panel dives into: The Volatility Review: Analyzing the 6-point spike in VIX Cash and the massive 15-point jump in the VVIX. The Oracle of New Hampshire: Matt Amberson (ORATS) explains why things are spicy enough for him to start buying straight puts. Russell Rhoads' Weekly Rundown: A deep dive into VIX option flow, including the massive interest in the March 20 puts and the July 60 calls. The Return of the Loggins: Kenny Loggins joins the show as the market flirts with "panic" territory and the backwardation deepens. Stagflation Worries: Andrew Giovinazzi and the team discuss why $90 oil and bad employment data are a nightmare for the Fed. Crystal Ball: The team makes their bold (and high) VIX prognostications for next week.

Mar 6, 2026 • 51min
TWIFO 487: An Explosive Week in Energy, Equity, Crypto and More
The markets are anything but calm this week. Join host Mark Longo and special guest Erik Norland, Chief Economist at CME Group, as they break down a historic surge in volatility across every major asset class. From geopolitical tensions driving double-digit moves in crude oil to the "incoherent" signals between gold and treasury yields, we dive deep into the data you need to navigate this changing landscape. On this episode, we discuss: Energy: WTI Crude's 21%+ surge—is the market pricing in a long-term Middle East disruption, or is the move surprisingly muted? Metals: Why Gold and Silver are decoupling from the "flight to quality" narrative and what the 6,000 strike in Gold tells us about long-term sentiment. Crypto: The "Digital Gold" debate—Erik explains why the correlation between Bitcoin and Gold remains near zero despite the recent volatility. Rates & Credit Spreads: A look at the massive volume in 10-year notes and why narrowing credit spreads might be ignoring brewing risks in private credit. Equities: The rotation from large-caps to small-caps—is the Russell 2000 rally overdone, or is there more room to run?


