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The Option Alpha Podcast

Latest episodes

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Jun 4, 2018 • 22min

133: Weekly Bull Call Spread Backtesting Results For DIA

Show notes: http://optionalpha.com/show133With the rising popularity of weekly option contracts, many investors are choosing to trade weekly bull call spread option strategies as opposed to simply going long stock. The thought process is that by trading the weekly contracts you are able to more quickly adjust and profit from moves in the overall market. On today's show, we use our backtesting software to analyze the results of a weekly bull call spread in DIA and its performance compared to a monthly bull call spread in DIA. Naturally, this options buying case study will be very interesting for those investors who feel they have some sort of directional edge when markets are trending higher. 
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May 28, 2018 • 21min

132: Can't Trade Unlimited Risk Option Strategies? [Here's 4 Great Alternative Trades]

Show notes: http://optionalpha.com/show132Some traders wrongly assume that if they can't trade unlimited risk option strategies, such as straddles and strangles, that they should just avoid trading altogether. Today however, I want to present four great alternative trades to some of the more common unlimited risk options strategies and help you learn how to convert these trades into their synthetic counterparts. The goal of all conversions is to turn a trade from unlimited risk to defined risk so that the broker will allow it in your account or based on your options approval level.  I think that you'll find after you listen to today show it's much easier to trade unlimited risk strategies using a synthetic, risk-defined alternative than  you might have otherwise thought.
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May 21, 2018 • 46min

131: Rolling Options Forward - Multi-Month Case Studies In TLT & IWM

Show notes: http://optionalpha.com/show131One of the more advanced techniques options traders use to reduce risk and increase the probability of success of the trade, is to roll contracts from one month to the next. Today's show focuses exclusively on rolling options forward, by showing you two different case studies in TLT and IWM. Both trades took multiple months to turn a profit and multiple rolls of our contracts.  I'm going to also go out on a limb and say that this podcast is potentially one of the most favorite ones I've recorded because I truly believe this concept can help change trades that go against you for the better - and turn losers into winners.
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May 14, 2018 • 20min

130: Five Quick Tips For Smoother Option Order Execution

Show notes: http://optionalpha.com/show130Seems most traders constantly struggle with getting option trades filled. And since we never suggest using "market orders" as a quick fix for entry problems, today I'm offering five quick tips for smoother option order execution. It's a simple framework you can walk through the next time you're having trouble getting a trade filled in the market. Hint: #2 is the most common mistake and easiest one to fix right away.
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May 7, 2018 • 16min

129: Do You Recognize These 4 Early Warning Signs Of A Non-Diversified Options Portfolio?

Show notes: http://optionalpha.com/show129As options traders focused on income generation, it's important that we consistently work towards maintaining a diversified options portfolio. But are there any "earning warning signs" that we are starting to lose our grip and balance? In today's podcast, I've put together four things you can monitor so you don't wake up tomorrow and realize you've got a non-diversified portfolio that's in need of major repairs. These early warning signals can help you adapt more quickly to an ever changing market by making smarter trades and adjustments.
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Apr 30, 2018 • 24min

128: Stock Market Direction Becomes Irrelevant When You Average Down

Show notes: http://optionalpha.com/show128How important is picking the right stock market direction when trading options? Depending on how you trade, it can be either vitally important or not important at all. Today's podcast offers some insight and examples of why higher trading frequency and why averaging down (or up) around the market creates an environment in which market direction becomes more irrelevant the longer you trade. As retail traders, we want to try to replicate more and more frequent "resets" of our overall break-evens which in turn lead to less dependence on the market direction for profits.
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Apr 23, 2018 • 24min

127: What Contract Month & Option Strike Price Should I Buy Or Sell?

Show notes: http://optionalpha.com/show127You're ready to place an option trade and you're confident the stock is a good candidate. Now what? With dozens of contract months and hundreds of option strike prices to choose from - which ones do you select? In today's podcast, we'll help bring some more light to the "dynamic approach" we now use at Option Alpha for each and every trade we place. The framework and concepts around dynamic contract month and option strike price selection can help dramatically improve your long-term performance and reduce portfolio volatility.
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Apr 18, 2018 • 21min

126: Manage Multiple Option Positions Without Having To Be In Front Of The Screen All Day

Show notes: http://optionalpha.com/show126We're all busy; with work, family, school, kids, etc. And although many people might lead you to believe you have to be in front of the screen all day in order to manage multiple option positions, the reality it's not true. Yes, you do need to have access to the markets in order to trade right now (not in the future though), but you don't have to be glued to the computer screen all day. You can use some simple triggers and alerts to keep tabs on your portfolio while you are away or at work and be just as effective, if not more, than working at the trading desk all day. Inside today's show, we'll break down some of the best resources and tips on managing your portfolio with limited time.
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Apr 9, 2018 • 29min

125: Learn How To Trade Options By Eating An Elephant In 90 Days

Show notes: http://optionalpha.com/show125Want to learn how to trade options the right way but feeling overwhelmed? It's like this big giant elephant is standing in front of you and you have to figure out a way to consume it. And the best way to do anything in like, like eating the proverbial elephant, is to tackle it one bite at a time. So today, I want to introduce two ways of learning how to trade options; the first using frameworks, and the second using concepts. Both are effective ways to quickly process information, and more importantly, retain the information so you continue to build your knowledge base for trading. Plus, either one I feel could be done start to finish, including coverage of all options trading topics, in less than 90 days.
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Apr 3, 2018 • 25min

124: The Ugly Truth About Selling Cheap Options

Show notes: http://optionalpha.com/show124Selling cheap options with very high probabilities of success makes rationale sense on the outside. I mean, why sell options with a 70% chance of success when you can sell options further out that have a 90% chance of success. No brainer right? Well, not so fast. The options market is fair and efficient - and selling these far out-of-the-money options might look good from a win rate perspective, the total dollar profits you'll generate far under-perform the stock market. Today, we'll use our Options Backtesting software to run two option selling strategies on TLT. The first selling options at the 0.25 delta and the second selling options at the 0.05 delta. Inside we present the results and our analysis as to why selling cheap options could be less beneficial to your portfolio.

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