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Options Boot Camp

The Options Insider Radio Network

Options Boot Camp is designed to help get you into peak options trading shape by teaching you options trading inside and out, basic to complex. Listeners can even submit their own options questions to be answered on the show.

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  • 23 episodes
  • weekly
  • Avg 34 min
  • English
Counted on this page — what you have heard stays on this device, so it is not something the list can be paged by.
  • #385
    April 8 · 32 min

    Options Boot Camp 385: Double Calendar Madness

    Can you handle the Double Calendar? In this episode of Options Boot Camp, the drill instructors tackle a strategy never before discussed on the network. Mark Longo is joined by the "Calendar King of Chicago" himself, John Kmiecik from Market Taker Mentoring (MTM), to break down the Double Calendar Spread. John reveals how the addition of Monday and Wednesday expirations for heavy hitters like Nvidia, Apple, and Tesla has completely shifted the risk-reward profile of time spreads. The guys also dive into the "Viceroy Special"—the definitive answer to when you should stop trading options and just buy the stock. On the Drill Floor: The Double Calendar: How to trade two ranges at once with lower cost and risk. The Mid-Week Edge: Leveraging new Monday/Wednesday expirations to your advantage. Spicy Volatility: Strategies to lean into (and which to avoid) when the VIX hits 30. The Rate Cut Debate: Is the market pricing in a pivot or more pain? Whether you're looking to harvest premium or survive a market whipsaw, this episode turns complex concepts into actionable drills. Genius Loves Company: See why Investopedia named Tastytrade the best broker for options in 2024. Get low pricing, elite education, and a support team that actually gets how traders trade at tastytrade.com/podcasts .

  • #384
    April 1 · 24 min

    Options Boot Camp 384: Options Fool's Day

    Happy April Fool's Day! In this special "Options Fool's Day" edition of Options Boot Camp, Mark Longo is joined by guest instructor John Kmiecik from Market Taker Mentoring (filling in for Dan Passarelli, who may or may not be riding donkeys in Santorini). While the spirit of the day is lighthearted, the lessons on what NOT to do are very real. The duo dives into a "too good to be true" scenario involving high-ratio spreads, exploring the seductive but dangerous world of "free lunch" trading. We also have a bit of fun with some "breaking" (and completely fabricated) OCC volume numbers to see if the golden goose of options trading is finally cooked. In this episode, we cover: The March Pro Trading Crate Giveaway: We crown our latest winner! The "Infinite Return" Myth: A deep dive into ratio spreads, 1x4 lopsided trades, and why "zero outlay" usually comes with a massive hidden price tag. Market Satire: Analyzing the (fake) cracks in options volume and what the real state of the industry looks like. Education vs. Pranks: Distinguishing between sound strategy and the "nonsense" that can lead a small account to ruin. Disclaimer: This episode contains April Fool's satire. Please do not attempt 1x4 net short ratio spreads at home unless you enjoy financial ruin!

  • #383
    March 25 · 23 min

    Options Boot Camp 383: Weekend Risk and Dangerous Donkeys

    Is the "Wheel Strategy" making you nervous in a high-volatility market? In this episode, Mark Longo and Dan Passarelli field listener questions about navigating black swan fears, the "Greeks" you should watch when the market moves fast, and whether the AI narrative in Nvidia still has legs. Dan also prepares for his upcoming trip to Greece by getting some questionable advice from Mark about riding donkeys in Santorini and ordering "Euros" at the local taverna. Key topics covered in this episode: The Wheel Strategy vs. Credit Spreads: Is it time to cap your downside when the VIX hits 22? Vega and Gamma Focus: How your attention should shift between Greeks in a fast-moving market. Nvidia (NVDA) Outlook: Dealing with underwater bull call spreads after the GTC conference. 0DTE Expansion: Will we see more zero-day contracts added to the roster this year? UVIX vs. SVIX: A deep dive into leveraged and inverse VIX products and how to use them to hedge "weekend risk."

Showing 21–23 of 23 episodes