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This Week in Futures Options

Author: The Options Insider Radio Network

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Gold, crude oil, corn, soybeans and more - with so many tradeable products the futures options market is an intimidating place. How can you possibly keep track of the latest trading activity across so many different products? Don't worry - we've got you covered. Welcome to This Week in Futures Options - the program designed to help active futures options traders stay on top of this ever-changing marketplace. Each week we'll break down the top trades, hot products, volatility explosions and much more. Whether you're an experienced veteran or a newcomer looking to separate the wheat from the lean hogs, This Week in Futures Options has the information you can't find anywhere else...
526 Episodes
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What's driving the selloff in agricultural futures—and what are equity and energy options traders positioning for next? Mark Longo and guest Kevin Green of the Schwab Network explore the latest futures options trades, volatility shifts and market developments across CME Group markets. In this episode: • Equity whipsaws: E-mini S&P 500 options activity, short-dated expirations and weak market breadth beneath the mega-cap rally. • Corn selloff: USDA grain stocks data, harvest pressure and increased options volume. • Soybeans and soybean meal: Supply concerns, export demand, changing skew and active downside puts. • Crude oil skullduggery: WTI put spreads, shipping incentives and Kevin's questions about reported Strait of Hormuz oil flows. • Natural gas: A sharp weekly decline, winter demand and the potential for weather-driven volatility. • Copper: Production disruptions, supply constraints and the risks posed by rising yields.
What happens in futures options when Treasury yields climb, technology stocks rally and crude oil falls? Mark Longo and Mike Tosaw of St. Charles Wealth Management dig into the activity across CME Group markets. They examine the surge in 10-year Treasury yield and a sizable roll in 10-year note puts, then turn to options activity in the S&P 500 and Nasdaq-100. In energy, they break down WTI crude's decline, the interest in crude puts and calls, and a sharp move higher in natural gas. Mike also looks at the technology rally through Meta, AMD and Micron.
The futures options markets are digesting a turbulent Fed week, and there's no shortage of action across equities, energy and metals. On this episode of This Week in Futures Options, host Mark Longo is joined by Scott Bauer of Prosper Trading Academy to break down the latest activity across CME Group's futures options markets. They examine the post-Fed swings in Nasdaq and E-mini S&P 500 options, including the continued dominance of short-dated trading and unusually heavy put activity across the equity index complex. Then it's off to crude oil, where elevated volatility, changing skew and active downside strikes are creating some intriguing setups. The conversation also turns to copper's continued rally and growing upside options interest, plus the latest action in gold following the Fed decision. Along the way, Mark and Scott discuss gamma exposure and dealer positioning, the popularity of 0DTE options, futures trading in the CME Challenge, and whether traditional relationships between gold, equities and crypto are beginning to shift.
Single stock futures are back—and this time the market may be ready for them. On this episode of This Week in Futures Options, Mark Longo welcomes Tim McCourt, Senior Managing Director and Global Head of Equity, FX and Alternative Products at CME Group, for a deep dive into the return of single stock futures. They discuss what makes this new generation of single stock futures different, the role of the Magnificent Seven, growing retail participation, cash settlement, capital efficiency and the push toward nearly around-the-clock equity trading. Tim also breaks down the early response to CME Group's standard and micro single stock futures, how traders are using them around earnings, and whether options on single stock futures could eventually be next. Plus, we analyze the latest action across the futures options markets, including energy, metals, crypto and a closer look at some interesting Nasdaq options activity.
Crude oil is skyrocketing, equities are ripping higher...and apparently the stock market just doesn't care. On this episode of This Week in Futures Options, host Mark Longo is joined by Dan Gramza of Gramza Capital Management to break down a wild week across the futures options markets. They discuss the surprising disconnect between surging WTI crude oil and bullish equity markets, what's really driving the move in energy, and whether anxiety surrounding the Middle East is more important than actual supply concerns. They also explore the latest options activity across the E-mini S&P 500, WTI crude oil, soybeans, silver and gold, including unusual upside call activity, changing volatility and skew, soybean strength, and some eye-opening trades in the precious metals markets. Plus, Dan shares his outlook for equities, crude oil, agriculture and metals as traders head into a critical stretch for the markets.
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