Find the podcast version of all episodes HERE.
Recorded: 04/13/2026 at 4PM ET
Duration (video & podcast): 56 minutes
Highlights:
• Learn why price action often beats news analysis
• Discover how VIX signals predict market reversals
• Identify overbought conditions before pullbacks begin
• Understand overhead supply and its impact on rallies
• See real examples of sector rotation across markets
• Learn trend-following strategies that outperform emotional trading
• Explore setups for breakouts, pullbacks, and reversals
• Understand risks of options strategies in volatile markets
• Gain insights into semiconductors, biotech, and energy trends
• Learn how professionals adapt strategies to changing volatility
Lineup for this Episode:
• Dave Landry of DaveLandry.com
• The Option Professor of OptionProfessor.com
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
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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
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
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
Find the podcast version of all episodes HERE.
Recorded: 02/09/2026 at 4PM ET
Duration (video & podcast): 62 minutes
Highlights:
• Professional options insights from decades of real market experience
• Clear signals for timing market turns and avoiding traps
• Actionable indicators traders can monitor immediately
• Real examples of stocks, sectors, and rotations unfolding now
• Learn how pros interpret yields, volatility, and breadth
• Spot warning signs before markets shift direction
• Understand institutional behavior driving major moves
• Practical risk management for uncertain market conditions
• Identify sectors gaining strength beneath headlines
• Get frameworks traders use to stay disciplined and profitable
Lineup for this Episode:
• The Option Professor of OptionProfessor.com