Author Archives: TimingResearch.com
Author Archives: TimingResearch.com
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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
These presentations were recorded on Tuesday, March 3rd, 2026 as as the NEW format for the Analyze Your Trade #223.
Find the podcast version of all these presentations HERE.
• Live Charting with Anka Metcalf of TradeOutLoud.com
HRTG, EQX, PLXS, RKLB, NFLX; gold-stock volatility and sector ETFs, moving-average breakouts, resistance digestion near key pivots, earnings-related consolidation, institutional participation via volume, and swing-trade planning using support levels, triggers, and disciplined risk management.
• Live Charting with Chris Sayre of BigTrends.com
SPY, UPH, LUMN, NFLX, TSLA; major index ETFs and mega-cap tech, percent-R momentum signals, DMI/ADX trend confirmation, moving-average context, earnings-related caution, and disciplined trend-trading tactics focused on avoiding chop, confirming momentum, and managing entries and exits.
• Live Charting with Harry Boxer of TheTechTrader.com
EDSA, ABX, EDU, HYMC, NFLX; gold, uranium, silver miners and major index ETFs, intraday breakout patterns, Elliott-wave targets and trend channels, volume-driven momentum trades, reversal warnings, and disciplined stop placement focused on managing risk during volatile market conditions.
• Live Charting with Erik Gebhard of Altavest.com
SPX, NQ, RTY, GC, CL; index futures and commodities, RSI divergence signals, Bollinger-band context, consolidation analysis, and option-based strategies emphasizing non-directional income trades, probability-driven positioning, and disciplined risk controls during range-bound markets.
• Live Charting with Matthew Timpane of SchaeffersResearch.com
VVX, ARKG, ENVA, ONDS, PANW; crude oil, silver, and broad market volatility, moving-average inflection points, anchored VWAP levels, momentum shifts and mean-reversion setups, plus tactical risk management using defined entries, profit targets, and disciplined stop placement.
• Live Charting with Michael Filighera of LogicalSignals.com & TradersHelpingTraders.com
SLV, GIL, AAPL, MSFT, HRMY; precious metals and major indexes, Elliott-wave structure and Fibonacci targets, volatility across equity markets, index-weight leadership effects, and options-driven dealer hedging with gamma levels influencing intraday reversals and broader risk-management considerations.
• Live Charting with Sunny Harris of MoneyMentor.com
CL, NFLX, GLD, TBPH, CSTM; crude oil futures and precious metals, dynamic moving-average “Sunny Bands” signals, attractor price levels, gap-filling behavior, and short-term trading tactics emphasizing trend confirmation, congestion analysis, and disciplined entry timing.
• Live Charting with Wally Olopade of RightSideTrading.com
BDB, TGT, ORCL, BJ, GILT; broad retail and tech sectors, topping patterns and resistance zones, sentiment gauges and seasonality trends, channel targets and higher-high structures, with strategy emphasis on waiting for confirmation signals, managing stops, and avoiding late entries near risk levels.
• Live Charting with The Option Professor of OptionProfessor.com
ISSC, KRP, MSFT, TSLA, NFLX; broad indexes, volatility gauges, oil and global markets, support-and-resistance analysis, mean-reversion setups, volatility spikes affecting sentiment, and options-based strategy concepts including put-selling, call spreads, hedging, and disciplined risk management.
• Live Charting with Norman Hallett of TheirMoneyYourProfit.com & TheDisciplinedTrader.com
MES, ES, YM, GC, SI; equity index futures and precious metals markets, moving-average structure and undertow analysis, loaded-gun breakout setups, momentum confirmation via candles and RSI, plus trader psychology, position sizing discipline, and strict stop-loss management for futures traders.
• Live Charting with Dave Landry of DaveLandry.com
GLD, NUGT, KGC, AG, DBD; gold and precious-metals sectors, broad index trends and sector rotation, Landry-light pullbacks and bow-tie moving averages, momentum breakouts versus gap-reversal setups, and disciplined trend-following with partial profits, trailing stops, and careful risk management.
Find the podcast version of all episodes HERE.
Recorded: 03/02/2026 at 4PM ET
Duration (video & podcast): 62 minutes
Highlights:
• Expert analysis of geopolitical market movements
• Bulls vs Bears live debate on what’s happening technically
• The key technical area of S&P 6800 is explained in detail
• Trade setups for Gold, Silver, Oil evaluated
• Are algorithms or emotions driving the what’s moving in markets today?
• An Elliott Wave road map for potential March volatility
• Tech & Retail earnings plays
• Breakout setups from various sectors
• Various strategies to help navigate volatile markets
Lineup for this Episode:
• Harry Boxer of TheTechTrader.com
• Michael Filighera of LogicalSignals.com
• Wally Olopade of RightSideTrading.com
• The Option Professor of OptionProfessor.com
Find the podcast version of all episodes HERE.
Published: 02/23/2026
Duration (video & podcast): 62 minutes
Highlights:
• Tariff decision by Supreme Court surprises investors in the market
• The two most important levels to follow on both the SPX and the QQQ today
• A huge breakout opportunity created from NVIDIA’s earnings
• Both Bulls and Bears are getting clear VIX signals today
• Pivot in bond yields has the potential to create a new portfolio landscape for you
• A commodity breakout to open up new opportunities in Energy and Metals
• Software stocks are currently underpriced and set up for a possible rebound
• Mag7 is currently at a critical technical juncture
• Some specific options trading strategies with clearly defined risk
• Real examples of how to use Options to generate Explosive Wins
Lineup for this Episode:
• The Option Professor of OptionProfessor.com
Find the podcast version of all episodes HERE.
Recorded: 02/17/26 at 4PM ET
Duration (video & podcast): 59 minutes
Highlights:
• Critical 6800 support level under constant pressure
• Nasdaq weakness versus resilient transports divergence
• Gamma positioning heavily influencing index price swings
• Major macro catalysts: PCE, GDP, tariff decisions
• Signs momentum sectors already rolling over
• Bearish setups forming in former high-flyers
• Gold and commodities showing extreme volatility shifts
• Active intraday trading opportunities highlighted live
Lineup for this Episode:
• Harry Boxer of TheTechTrader.com
• Michael Filighera of LogicalSignals.com
• The Option Professor of OptionProfessor.com