Author Archives: TimingResearch.com
Author Archives: TimingResearch.com
Hosted by TimingResearch.com – Special Event Series #17
Presented by Chris Sayre of BigTrends.com
Title: How Options on AAPL, AMZN, and GOOGL Have Been Hitting Triples
Recorded: April 9th, 2025 at 1PM ET (10AM PT)
CLICK HERE TO VIEW THE ARCHIVE
Find the podcast version of all episodes HERE.
Recorded: 04/06/2026 at 4PM ET
Duration (video & podcast): 58 minutes
Highlights:
• Experts analyze markets sitting at critical turning points
• Learn how pros read SPY, QQQ, sector trends
• Discover percent R and ADX indicator strategies
• Real-time breakdown of tech, banks, energy setups
• Understand when markets are “no man’s land”
• Identify early signs of trend reversals and stabilization
• Learn how professionals manage partial positions and risk
• Insights into sector strength and weakness across markets
• See how pros evaluate earnings impact on stocks
• Actionable trading frameworks from decades of experience
Lineup for this Episode:
• Dave Landry of DaveLandry.com
• Chris Sayre of BigTrends.com
• The Option Professor of OptionProfessor.com
Find the podcast version of all episodes HERE.
Recorded: 03/30/26 at 4PM ET
Duration (video & podcast): 60 minutes
Highlights:
• Expert debate on market bottom versus further downside risk
• Learn how pros identify selling climaxes and reversal signals
• Key technical levels for S&P, major stocks, sectors
• Discover how institutional positioning drives market volatility
• Real examples of breakdowns in major tech leaders
• Insights into sector rotation across energy, healthcare, materials
• Understand gamma effects and forced market moves
• Learn how pros find relative strength in weak markets
• Actionable setups from stocks outperforming during selloffs
• Prepare for sharp rallies following extreme fear conditions
Lineup for this Episode:
• Harry Boxer of TheTechTrader.com
• Michael Filighera of LogicalSignals.com
• The Option Professor of OptionProfessor.com
These presentations were recorded on Thursday, March 26th, 2026 as as the NEW format for the Analyze Your Trade #224.
Find the podcast version of all these sessions HERE.
• Live Charting with Price Headley of BigTrends.com
SPY, QQQ, TSLA, NVDA, MSFT; broad index weakness and oil-driven volatility, bearish island reversals and 200-day breakdowns, momentum divergences, sector rotation out of tech, and options-based hedging with disciplined trend-following and risk-managed entries.
• Live Charting with Anka Metcalf of TradeOutLoud.com
SOFI, APEI, GLD, COPX, PLMR; macro-driven volatility with weak relative strength stocks, bullish continuation patterns in strong trends, key support/resistance inflection levels, low-volume caution signals, and risk-managed swing trading in uncertain market conditions.
• Live Charting with The Option Professor of OptionProfessor.com
SPX, VIX, HRMY, MSFT, IGV; broad index breakdown and volatility trends, software sector weakness, key support-resistance levels, RSI divergences and gap fills, options-based positioning and cautious risk management amid bearish market conditions.
• Live Charting with David Wyse of RightLineTrading.com
ISSC, DAKT, AMD, META, BIDU; institution-driven momentum signals, bearish trend structures, moving-average breakdowns, high-volume candles confirming direction, and options-focused trading using short setups and intraday momentum strategies.
• Live Charting with Gary Dean of SentimentTiming.com
IWM, ES, AAPL, PLTR, PSLV; broad indices and equities with institutional order-flow signals, liquidity divergences, accumulation versus distribution zones, support-resistance targeting, and short-term trading focused on following institutional positioning and managing entries around key levels.
→ [AD] PDF: Overnight SPY Trader Playbook
• Live Charting with Silas Peters of T2Markets.com
SPX, NQ, CL, SLV, PLTR; global indices, commodities, and precious metals, gamma exposure levels and liquidity conditions, headline-driven volatility, technical support-resistance zones, and intraday trading focused on confirmation signals and strict risk management.
• Live Charting with E. Matthew “Whiz” Buckley of TopGunOptions.com
SPX, NVDA, PLTR, AMZN, GS; broad index volatility and macro uncertainty, geopolitical-driven selloffs, long-term bullish positioning, options-based leverage strategies, and tactical short-term trading of momentum swings with disciplined risk control.
• Live Charting with Fausto Pugliese of CyberTradingUniversity.com
VCX, SMCI, AAPL, NVDA, TSLA; IPO momentum and high-volatility tech names, order flow and iceberg orders driving price, supply-demand imbalances, volume exhaustion signals, and active trade management focused on reading buyers versus sellers and timing exits.
• Live Charting with Matthew Timpane of SchaeffersResearch.com
AX, CAT, SLV, AOI, CIFR; broad equities and commodities under pressure, moving-average resistance and anchored VWAP levels, range-bound consolidation and breakout triggers, volatility-driven setups, and disciplined trading emphasizing patience, defined entries, and risk-managed positioning.
• Live Charting with Harry Boxer of TheTechTrader.com
EBR, SNEX, NVDA, MSFT, GILT; weak equities and sector pressure, bear flags and topping formations, downtrend channels and volume divergences, institutional distribution signals, and short-biased trading focused on continuation patterns, breakdown levels, and strict stop discipline.
• Live Charting with Norman Hallett of TheirMoneyYourProfit.com & TheDisciplinedTrader.com
ES, YM, NQ, CL, GC; futures markets and commodities, EMA trend alignment and undertow analysis, high-probability entry zones near moving averages, momentum continuation setups, and disciplined trade management with scaling, exits, and position sizing.
• Live Charting with Michael Filighera of LogicalSignals.com & TradersHelpingTraders.com
DOCU, HAL, HCI, SMCI, T; broad equity markets and commodities, Elliott Wave structures and Fibonacci targets, corrective wave expectations, sector-specific strength and weakness, and macro-driven outlook pointing to extended downside followed by multi-stage recovery.
• Live Charting with Sunny Harris of MoneyMentor.com
INCY, DFTX, GILT, WMT, TER; mixed equities and range-bound markets, dynamic moving-average structure and attractor levels, mean-reversion behavior near bands, momentum shifts via histogram signals, and tactical trading around support-resistance with probabilistic entry and exit planning.
• Live Charting with Dave Landry of DaveLandry.com
SPX, QQQ, MNST, VSCO; broader market rollover analysis, moving-average “bow tie” trend shifts, downside momentum (Landry Light), transitional breakdown setups, and tactical short-side opportunities following trend deterioration.
[Be sure to the full screen button in the video player]
Find the podcast version of all episodes HERE.
Recorded: 03/23/2026 at 4PM ET
Duration (video & podcast): 59 minutes
Highlights:
• Experts are debating whether we are seeing a “dead cat bounce” or a new reversal
• Learn to recognize various types of candlestick signals that can help you
• Find out how professional traders use the VIX to time the markets
• Gain insights on how different sectors (tech, financials, commodity)
• Learn about gamma, options flow, and changes in market structure
• The volatility of precious metals will be broken down with actionable technical levels
• The interest rate risks and warning signs of the credit markets will be covered
• See how professional traders manage their risk and remain patient
Lineup for this Episode:
• Michael Filighera of LogicalSignals.com
• Chris Sayre of BigTrends.com
• Wally Olopade of RightSideTrading.com
• The Option Professor of OptionProfessor.com
Find the podcast version of all episodes HERE.
Recorded: 03/16/26 at 4PM ET
Duration (video & podcast): 55 minutes
Highlights:
• Learn to identify professional level key market levels and signals
• Study VIX, RSI, and other major turning points
• Examine 2008 comparisons and current market risks
• Identify which areas are likely to rebound and reverse in the markets
• Review commodity trends that influence energy, metal, agricultural trades
• Look at a few actual stocks in software and banking
• Learn how to recognize oversold bounces
• Receive insight into future earnings announcements and market drivers
• Learn how to manage your risks and hedge against increased volatility
Lineup for this Episode:
• The Option Professor of OptionProfessor.com
The full archive for this event is available HERE.
The full archive for this event is available HERE.
The full archive for this event is available HERE.
Find the podcast version of all episodes HERE.
Recorded: 03/09/2026 at 5PM ET
Duration (video & podcast): 60 minutes
Highlights:
• Expert traders assess market volatility (and oil shock) and are able to identify when markets are uncertain (or in a state of high uncertainty).
• How professional traders interpret technical indicators during periods of extreme market volatility.
• Risk management techniques employed by experienced futures & options traders.
• How experienced traders utilize their trading psychology to control their emotional responses.
• What are the top risks facing all traders? Geopolitics, Oil Shocks, Inflation, or Artificial Intelligence?
• Practical methods of trading extremely volatile markets.
• How do experienced traders choose to trade either Day Trading or Swing Trading?
• Examples of technical trading setups that were actually utilized by the traders.
• Trading Lessons Learned by the traders from previous market crashes.
Lineup for this Episode:
• Alaina Nicole of InvestingBae.com
• Carley Garner of DeCarleyTrading.com
• Anka Metcalf of TradeOutLoud.com