

The tastylive network
tastylive
The tastylive network teaches investors innovative, simple ways to trade stocks, options, and futures, take advantage of market volatility and build a successful portfolio. Tom Sosnoff leads an irreverent and playful band of floor traders who are showing America a new way to quickly find low risk, high return strategies in bullish, bearish and sideways markets.
Episodes
Mentioned books

Nov 10, 2025 • 18min
Trading Charts with Tim Knight - November 10, 2025
Tim Knight discusses the market's reaction to the recent government shutdown resolution, describing an unexpected rally. He reviews SPY and Nasdaq price movements, highlighting significant trendline breaks. Palladium's risk-reward profile is examined, with suggestions for potential targets. Amid the backdrop of weak IPO performance and market breadth concerns, Tim shares insights on short positions in small caps and nuclear stocks. He also critiques a failed pattern with Oscar Health and compares the recovery of Tesla to Rivian's struggles.

Nov 10, 2025 • 18min
Trading Charts with Tim Knight - November 10, 2025
Tim Knight dives into the recent market bounce, analyzing SPY's rebound and the strength of semiconductors. He critiques government stimulus proposals while discussing crypto rumors linked to them. Precious metals and mining ETFs show signs of recovery, while Palladium has solid support that could drive a rally. Knight shares short positions on CoreWeave and Centene, shedding light on healthcare volatility. He also critiques weak IPO performance, offering insights on Tesla and Rivian's EV challenges.

Nov 10, 2025 • 41min
From Theory to Practice - November 10, 2025 - POP vs Profitability
Jim Schultz dives into high-volatility trading strategies, emphasizing the importance of portfolio reviews in uncertain markets. He discusses a hands-off approach to adjusting MES positions amidst market rises. The performance of MNQ trades is highlighted with insights on profit-taking. Apple and Amazon options are analyzed, focusing on earnings impacts and the risks of position sizing. Jim engages with viewer questions, sharing personal experiences on trading earnings cautiously while highlighting quirks in Chipotle options. Overall, it's a practical guide for navigating the current trading landscape.

Nov 10, 2025 • 41min
From Theory to Practice - November 10, 2025 - POP vs Profitability
Jim dives into the latest market updates, covering key movements in major indices and commodities. He shares insights on his MES strangle management philosophy, showcasing a hands-off approach. Highlighted positions include a profitable MNQ close and strategic views on Apple and Amazon call spreads. Emphasizing the importance of consistent position sizing, Jim also discusses the risks of trading earnings. Community interaction adds a personal touch as he answers viewer questions and hints at future scheduling changes.

Nov 10, 2025 • 55min
Futures Power Hour - November 10, 2025 - Guess Who's Back and Better Than Ever?
Chris and Tom dive into the gloomy market sentiment despite strong earnings and GDP growth, pinpointing trade uncertainty as a key factor. They discuss potential catalysts like Cisco and Nvidia for the next market move. The duo debates the vulnerabilities of small-caps versus tech giants, while exploring how job data and potential Fed rate cuts could shape market outcomes. They analyze Treasury reactions, trade ideas for crude oil, and the implications of a breakout in gold and silver. Additionally, they share insights on currency positioning amid a weakening dollar.

Nov 10, 2025 • 55min
Futures Power Hour - November 10, 2025 - Guess Who's Back and Better Than Ever?
Market trends take center stage as the end of the government shutdown sparks optimism, especially in AI stocks. Discussions dive into the curious disconnect between strong earnings and sour investor sentiment. Semiconductors and tech giants play pivotal roles in market movements, with caution around small caps. Precious metals like silver and gold show promising breakouts amid fiscal shifts. Oil's range-bound behavior and natural gas volatility become key discussion points while FX strategies focus on dollar strength against the euro.

Nov 10, 2025 • 26min
Risk & Reward - November 10, 2025 - Risk and Reward
Gus and Errol discuss the upcoming launch of a Discord community and its regulatory implications. They analyze the NASDAQ's recent rebound, emphasizing risk management during heightened volatility. Conversations include the impact of potential government shutdowns on market sentiment, and penny stock strategies involving Rivian and LEAPS. They also explore gold's rally in relation to equity movements and dissect the shifting dynamics in the AI sector, particularly around OpenAI's staggering valuation. Caution is advised as markets approach all-time highs.

Nov 10, 2025 • 25min
Risk & Reward - November 10, 2025 - Risk and Reward
Gus and Errol dive into the recent NASDAQ rebound, emphasizing the importance of tighter risk management. They examine how an improved outlook on a government shutdown fuels market optimism. The duo discusses strategic trade adjustments, including options management and individual stock insights on Rivian and biotech holdings. They also reflect on the correlation between gold and market movements, critique corporate crypto approaches with MicroStrategy and GameStop, and speculate on OpenAI's staggering potential valuation.

Nov 10, 2025 • 59min
Options Trading Concepts Live - November 10, 2025 - Market Rebounds After Government Shutdown Worries Ease
Traders analyze a strong market rebound as optimism for a government reopen boosts stock prices. Semiconductor stocks like AMD and NVIDIA see significant gains. They discuss adjusting risk management strategies after a major reversal while contemplating the uncertain future of Fed interest rates. Position management tactics, including various spreads and strangles, are explored to maintain market exposure. The hosts also cover crypto support levels, upcoming earnings, and trading on sector ETFs, all while emphasizing the importance of strategic risk reduction.

Nov 10, 2025 • 58min
Options Trading Concepts Live - November 10, 2025 - Market Rebounds After Government Shutdown Worries Ease
Traders analyze a robust market rebound, driven by easing government shutdown fears. They discuss the impressive gains in semiconductor stocks, particularly NVIDIA and AMD. With the Fed's rate decisions shifting, the hosts emphasize risk management strategies after closing bullish positions. They explore hedging methods for potential reversals and highlight ongoing opportunities in both crypto and small-cap stocks. Insights into managing options through stock splits and earnings calendars are shared, making for a thoughtful look at today's trading landscape.


