The Options Insider Radio Network

The Options Insider Radio Network
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Mar 2, 2026 • 58min

The Option Block 1448: A Surprising Lack of Demolition in the Market

Despite a weekend filled with geopolitical turmoil and the outbreak of open war in the Middle East, the markets opened Monday with a surprising amount of resilience. Join Mark Longo, "Uncle" Mike Tosaw, and Andrew "The Rock Lobster" Giovinazzi as they break down the "weekend risk" playbook and why the "fade the vol spike" strategy is winning the day. In this episode, the panel discusses: The Trading Block: A look at the S&P, NASDAQ, and VIX. Why did the market go from red to green so quickly? Plus, a deep dive into the massive call activity in VIX and SPY. The Odd Block: Unusual activity in Nokia (NOK) and the "luxury pawn shop" The RealReal (REAL). Is someone betting on a major tech resurgence? Strategy Block: Uncle Mike breaks down the nuances of Delta weighting with Covered Calls. Learn how to capture premium without capping all your upside. Around the Block: Predictions for the week ahead, including earnings to watch: Best Buy, Target, Costco, and the volatile ASKS Space Mobile. Plus: A special "80s Trivia Challenge" featuring a heated debate over the greatest tag team of all time and breaking WWE Hall of Fame news!
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Feb 28, 2026 • 15min

The Hot Options Report: 02-27-26

Puts Everywhere: Inside the 0DTE Index Scan & Nvidia's Earnings Aftershocks The options market didn't just walk into the weekend; it sprinted. On this Friday, February 27, 2026, edition of The Hot Options Report, Mark Longo breaks down a "blood red" session where heavy hitters like NVIDIA (NVDA), Tesla (TSLA), and Netflix (NFLX) dominated the tape with massive volume. We dive deep into the Hot Options Scan of the Day, focusing on 0DTE (Zero Days to Expiration) index trades in the SPX and Nasdaq. With over $50,000 in premium hitting single lines, find out where the "smart money" was hedging as the market faced significant downward pressure. Inside this episode: The Big Three: Why NVIDIA took the #1 spot with a staggering 5.51 million contracts. The Netflix Rebound: How walking away from the Warner Brothers Discovery (WBD) deal sent NFLX shares—and call options—soaring. Retail & Tech Hits: Analysis of the heavy selling in Apple (AAPL), Microsoft (MSFT), and the massive 18% slide in Core Weave. SoFi & Palantir: Is the sell-off overdone? We look at the "cheap swings" paper is taking on March upside. Check out the tools mentioned in the show: Visit TheHotOptionsReport.com to explore the 0DTE Trade Scan, the Front Runner Scan, and the Retail Giant badges.
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Feb 27, 2026 • 59min

Volatility Views 670: Vol Patterns and the Riddle of UVIX

Tech wreckage is cutting the knees off the market, and the volatility panel is seeing red. This week, Mark Longo, Mark Sebastian, and Russell Rhoads dive into why the VIX is firming up despite the market sitting near all-time highs. Topics Breakdown: The Inflation Ghost: Why hotter inflation data is spooking the vol curve and keeping VIX above 20. The March 35 Calls: Why is this strike dominating the tape every single day? UVIX Management: A deep dive into "The Riddle of UVIX." We workshop how to use covered calls to offset decay without capping your "catastrophe hedge" upside. Election Vol: The November VIX cycle has entered the chat. Is it too early to hedge the midterms? Institutional Skullduggery: Discussing the Jane Street/Bitcoin lawsuit and the "Goldman Sachs fist punch" in financials. Visit https:// tastytrade.com/podcasts to see their latest offers.
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Feb 27, 2026 • 48min

TWIFO 486: Widowmakers and Lethal Weapons

On this episode of This Week in Futures Options, Mark Longo and Carley Garner of DeCarley Trading dive into a turbulent week across the CME Group complex. From the post-Nvidia "bloodletting" in the equities to the persistent volatility in the energy pits, they break down the moves that matter. In This Episode: The Movers & Shakers: A heavy tilt toward the "light side" with metals dominating the leaderboard. Why silver and platinum are lighting up the tape while the "Widowmaker" Nat Gas slides. Equities: Analyzing the post-earnings Nvidia hangover. Is the market rotation finally here, and what's behind the massive hunt for yield in the Nasdaq? Energy: Getting "Crude" with WTI. Carley explains why the Middle East tension is priced in, but the real story might be coming from Venezuela. Plus, a look at those tempting (and cheap) downside puts. Metals: Why speculators are suddenly "getting base" with Copper. Is Copper the next big meme trade, or is it just a classic boom-and-bust cycle?
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Feb 27, 2026 • 60min

The Option Block 1447: Nvidia Wreckage, Blackberry Bulls, and Robot Butlers

The markets are seeing red this Thursday as the "Mag 10" takes a hit. On this episode of The Option Block, Mark Longo is joined by Henry Schwartz from Cboe and Mike Tosaw from St. Charles Wealth Management to break down the carnage following NVIDIA's earnings—where even a stellar quarter wasn't enough to satisfy the bulls. The team explores unusual activity in some unexpected names, including a "blast from the past" tech giant and a newcomer in the "Robot as a Service" space. On the Docket: The Trading Block: NVIDIA's worst day in nearly a year. Henry Schwartz breaks down the VIX decomposition and S&P 500 skew, while Mike Tosaw looks at the "flight to safety" in Treasuries (TLT/IEF). The Odd Block: Why is there massive call paper in Blackberry (BB)? Plus, a look at the wild volume in Rich Tech Robotics (RRTX). Mail Block: The panel debates how to approach earnings season. Do you sell juice, buy juice, or avoid it altogether? Around the Block: What to watch for the rest of the week, from PPI data to macro geopolitical tensions in Iran.
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Feb 27, 2026 • 11min

The Hot Options Report: 02-26-26

It's a "Wild Thursday" on the Hot Options Report as Mark Longo breaks down a high-velocity day in the options market. Following the highly anticipated Nvidia earnings, the tape is lighting up with massive volume, but not everyone is finding a pot of gold at the end of the rainbow. We dive into why Nvidia's "worst single day since the tariff meltdown" sent premium to the graveyard and which names are dominating the Front Runner Badge today. On Today's Report: The Scan of the Day: A deep dive into the Front Runner Badge, highlighting symbols where 70% or more of the volume is concentrated in the next seven days. The Top 10 Countdown: We track over 6 million contracts in Nvidia (NVDA), plus heavy action in Tesla (TSLA), Microsoft (MSFT), and a massive "token dividend play" in Barrick Gold (GOLD). The Netflix Surprise: How one trader might have sniffed out the deal drama before the stock popped in the after-hours. The Retail Favorites: Updates on ChargePoint (CHPT), JetBlue (JBLU), and the ever-active Palantir (PLTR). Whether you're tracking the "Par Calls" or looking for the next scan, get the data you need to stay ahead of the tape. Run your own scans at: HotOptionsReport.com Get more Pro insights at: TheOptionsInsider.com/Pro
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Feb 26, 2026 • 43min

Options Boot Camp 379: AI Round 3 -Earnings Trading

In this episode, the "drill instructors" Mark Longo and Dan Passarelli return for Round 3 of their battle against the machines. With Nvidia (NVDA) earnings taking center stage, they put a premium AI model to the test: can a chatbot actually teach you how to trade the "volatility crush," or is it just repeating bad habits? In this episode, you'll learn: The AI Framework: Analyzing the 6-step checklist for earnings success. The Volatility Crush: Why buying "cheap" weekly calls is often a trap. Strategy Showdown: Comparing Iron Condors and Credit Spreads vs. Long Straddles. Risk Management: Why the 1% to 3% rule is the only way to survive earnings season. Ready to trade options and futures yourself? Go to https://tastytrade.com/podcasts to get on the tastytrade site and start trading today.
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Feb 26, 2026 • 51min

The Futures Rundown 67: Who the Hell Knows about Crypto, Coffee, Cocoa and More?

The futures markets are moving fast this week. From a 20% surge in Lithium to the continued "annihilation" of Cocoa bulls, Mark Longo and Dan Gramza break down the top 15 most active contracts and the year-to-date movers you need to watch. In this episode: Crypto Uncertainty: Why Bitcoin and Ether are struggling to find sustainable footing despite recent bounces. Agricultural Deep Dive: Exploring the global supply chains of Coffee (Arabica vs. Robusta) and the unique production systems of Cocoa in West Africa. Energy Outlook: Why Crude Oil is currently an "anticipation market" rather than a supply-demand story. Metals Momentum: Is Silver finally ready to lead Gold, or is it just a byproduct of industrial demand for solar cells? If you're ready to move from listening to trading, head over to tastytrade.com/podcasts to get started with the tastytrade platform.
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Feb 25, 2026 • 16min

The Hot Options Report: 02-25-26

Host Mark Longo breaks down today's "Retail Giant" scan, highlighting high-volume retail activity in Sony (SONY) and Unilever (UL). We dive into the massive 8% rally in MicroStrategy (MSTR), volatility shifts in AMD and Meta, and the high-stakes positioning in Nvidia (NVDA) ahead of their major earnings announcement. Key Highlights: Retail Scans: Sony, Unilever, and MercadoLibre. The Monster: Analyzing the MSTR $130 call surge. Earnings Watch: Breaking down the NVDA $200 par strike. Visit TheOptionsInsider.com for more.
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Feb 25, 2026 • 1h 4min

The European Market Brief 19: Rocking & Rolling in Rates

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. Whether you're a seasoned pro or new to the rates complex, learn how to navigate the cross-border volatility and innovation that makes the European marketplace so fascinating.

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