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    How to Trade Stocks and Options Podcast with OVTLYR Live

    This is the How to Trade Stocks and Options Podcast with OVTLYR Live. Giving you the tools, tips and tricks to help you trade faster and trade smarter with your host, ranked as one of the top 100 people in finance, Christopher M. Uhl, CMA

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    Copyright: © Christopher M. Uhl, CMA

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    Latest Episodes:
    THIS Is the Real Secret to Profitable Trading (Most Get This Wrong) Dec 04, 2025
    Show notes

    Are you looking to save time, make money, and start winning with less risk? Then head to https://www.ovtlyr.com.Most traders think success is all about being right on the very next move. Call the top, call the bottom, nail the perfect entry. But this video flips that whole idea on its head in the best way possible. What really separates profitable traders from frustrated ones is not prediction. It is having a real edge, trusting the math, and sticking with the plan when things feel uncomfortable.This breakdown walks through why judging yourself or anyone else based on one trade, five trades, or even ten trades is a massive mistake. A single win does not make you a genius. A single loss does not make you a failure. Trading does not work that way in real life. What matters is how your results stack up over hundreds and thousands of trades using a proven strategy.You will see exactly what a true mathematical edge looks like in action. A system with a realistic win rate around 55 percent might not sound exciting on the surface. But when that edge is applied consistently, with clean risk control and zero guesswork, the long-term results can be powerful. The uncomfortable truth is that even great systems still go through painful drawdowns, flat periods, and strings of losses. That is not broken trading. That is normal trading.Halfway through the video, the message becomes impossible to ignore:✅ One trade is noise, not proof✅ Even profitable traders hit long losing streaks✅ Small edges compounded over time create big results✅ Drawdowns are part of the process, not a failure✅ Discipline matters more than being right todayThere is also a real look at how different plans perform over time. From active strategies to cash-based approaches to retired systems, you see how returns actually behave in the real world. Some years are great. Some years are slow. Some years are frustrating. But over time, the systems with positive expectancy do what the math says they should. They grow.The most important lesson here is psychological. Most traders quit right before the edge can even show up. Two losses turn into doubt. Doubt turns into abandoning the system. Abandoning the system wipes out any chance of long-term success. This video shows why patience is not optional if you want to win consistently.There is also a big reminder that you do not trade for the internet. You trade for yourself. You do not need to prove anything with one lucky win or spiral after one bad loss. The real power comes from staying locked in on the long game, trusting tested data, and executing without emotion.If you have ever questioned a good strategy too early, felt shaken by a drawdown, or wondered whether your edge actually works, this video will snap your perspective back into place. Profitable trading is a marathon, not a highlight reel. Once that really sinks in, everything changes.Gain instant access to the AI-powered tools and behavioral insights top traders use to spot big moves before the crowd. Start trading smarter today 👉 https://ovtlyr.comSubscribe for more real talk and real signals. No fluff, no noise. Just strategies that help you save time, make money, and start winning with less risk.👉 https://www.youtube.com/@ovtlyrdotcom📌 Video: https://youtu.be/cOfgvdU1jiY#tradingpsychology #stockmarketeducation #optionstrading #riskmanagement #daytrading #swingtrading #investingmindset #OVTLYR #tradingstrategy #tradingdiscipline


    The 9 Stocks I will BUY the Remainder of 2025‼️ Dec 04, 2025
    Show notes

    Are you looking to save time, make money, and start winning with less risk? Then head to https://www.ovtlyr.com.This was one of those trading sessions where everything clicks into place and you get to see what disciplined execution actually looks like in real time. Trades were being managed live, rolls were evaluated step by step, and every decision came back to one thing: follow the plan and protect risk first. No hype. No guessing. Just clean, rule-based trading the way it is supposed to be done.You get a front-row seat to how Plan M works when positions move in your favor. Half ATR hit? Now it is time to evaluate a roll. Full ATR? Same process. Nothing is rushed and nothing is forced. The entire session reinforces one simple truth that most traders ignore. You do not need to predict the market. You need to manage it.What really stands out here is how calm and boring good trading actually is. Positions are checked quickly using the 10 and 20 EMA cross. Order blocks are evaluated. Earnings, gaps, and ATR stops are confirmed. If nothing is triggered, nothing is done. That is not passive. That is professional.In the middle of all the live trade management, there are also some powerful mindset reminders. Your trading has to fit your lifestyle. Some traders watch charts all day. Others only trade at the close. Both can work as long as the rules stay intact. What destroys accounts is emotional decision making, rushing, or bending the plan after the fact.Here is a quick breakdown of what you will see in this session:✅ How rolling works using ATR and extrinsic value to reduce risk without killing upside✅ Why low extrinsic value matters more than chasing perfect strikes✅ How the 10 and 20 EMA cross simplifies exit decisions✅ How order blocks shape both entries and exits✅ Why boring execution beats emotional trading every timeYou also get a full market context check using SPY, sector breadth, fear and greed, and value zones. New trades are only allowed when market structure supports them. If the market score does not confirm, no new trades go on. That restraint alone saves most traders from blowing up their accounts.Another standout moment in this session is the emphasis on consistency with indicators. Using multiple scripts that all show different signals leads to confusion and hesitation. Pick one tool. Learn it deeply. Trust it. Consistency is what builds long-term confidence.You will also hear practical answers to advanced questions like whether rolling earlier in the day makes sense, how to handle brokers that do not support rolling, and how to manually calculate extrinsic value if your platform does not show it. These are the real-world issues traders face, and they are addressed directly and honestly.At the end of the day, this session makes one thing very clear. Trading is not supposed to be flashy. It is supposed to be structured, repeatable, and boring in the best possible way. That is how accounts grow over time.If your goal is to save time, make money, and start winning with less risk, this session shows exactly how that framework is built and executed using OVTLYR tools and disciplined decision making.Gain instant access to the AI-powered tools and behavioral insights top traders use to spot big moves before the crowd. Start trading smarter today 👉 https://ovtlyr.comSubscribe for more real talk and real signals. No fluff, no noise. Just strategies that help you save time, make money, and start winning with less risk.👉 https://www.youtube.com/@ovtlyrdotcom#stocktrading #optionstrading #ovtlyr #tradingstrategy #atrtrading #riskmanagement #daytrading #swingtrading #marketanalysis #tradingeducation #tradingpsychology


    SPX Gamma Trading: Risk $30 to Make $800? (The Strategy Explained!) Dec 03, 2025
    Show notes

    Are you looking to save time, make money, and start winning with less risk? Then head to https://www.ovtlyr.com.Ever heard someone say you can risk just $30 and potentially make hundreds on a single options trade? Yeah, that definitely grabs attention. In this episode, things go deep into one of the most misunderstood areas of options trading: gamma exposure. It sounds complex at first, but it is unpacked step by step in a way that actually makes it click. And once it does, you start seeing why expiration weeks behave the way they do. The session kicks off by breaking down delta and gamma in real, practical terms. Delta shows how much an option moves for every one dollar move in the stock. Gamma shows how fast that delta changes. When gamma is stacked across strikes and expirations, you get gamma exposure, which tells you whether market makers are likely to calm price down or push volatility even harder around certain levels.From there, things get really interesting. You see how positive gamma areas usually lead to choppy, range bound markets where price fades work better. On the flip side, negative gamma zones tend to produce fast, violent moves where momentum strategies shine. This single distinction can completely change how you view a trading week.Once those concepts are clear, the episode applies everything to real expiration levels. Using publicly available gamma data, key strikes are identified where large open interest and dealer positioning could influence price. From those levels, two butterfly trades are built. One risks about $30. The other risks about $80. In both cases, the upside can exceed $800 if price lands right on the target at expiration.Here is the real talk moment though. These trades look amazing on paper. The risk is tiny. The reward is massive. But the profit window is incredibly narrow. You only get paid if price lands inside a tiny range at a very specific moment on expiration day. Miss it by a little and the trade loses. That is why this style of trade is compared to buying a lottery ticket with really precise odds.Midway through the episode, several hard truths are laid out clearly:✅ Why positive gamma environments favor premium selling and fading moves✅ Why negative gamma environments create explosive directional action✅ How dealers influence price near heavy open interest levels✅ Why narrow butterflies can look incredible but are brutally preciseOVTLYR tools show up throughout the session, including the value zone framework, ATR rolling rules, and strict exit signals. You also see how a professional style routine actually looks day to day. Checking positions, confirming rules, and making decisions based on data instead of emotion.The big message here is simple and powerful. The goal is not to predict what big money will do next. The goal is to build a repeatable process that protects capital first and lets profits follow.If gamma exposure, expiration pinning, or asymmetric option trades have ever caught your attention, this episode gives you a grounded, honest look at both the upside and the limitations. No hype. Just real trading logic, real risk, and real expectations.Gain instant access to the AI-powered tools and behavioral insights top traders use to spot big moves before the crowd. Start trading smarter today 👉 https://ovtlyr.comSubscribe for more real talk and real signals. No fluff, no noise. Just strategies that help you save time, make money, and start winning with less risk.👉 https://www.youtube.com/@ovtlyrdotcom📌 Video: https://youtu.be/d1cD0ieUroM#optionsTrading #gammaExposure #optionsStrategy #butterflySpread #expirationTrading #SPXOptions #tradingEducation #riskManagement #deltaGamma #professionalTrading


    Become a Top 1% Trader By Creating Your Own Trading Plan | OVTLYR University Lesson 5 Dec 03, 2025
    Show notes

    Are you looking to save time, make money, and start winning with less risk? Then head to https://www.ovtlyr.com.If trading ever felt confusing, overwhelming, or just plain chaotic, this class is the reset button. This session of OVTLYR University dives into what actually keeps traders alive in the market long enough to win: structure, discipline, and a real trading plan that makes sense in the real world.This is not about chasing fast money or trying to guess the next big move. It is about deciding what you are allowed to trade, when you are allowed to trade it, and how much you are willing to risk before you ever click the buy button. Most traders skip this step. That is why most traders do not last.One of the biggest takeaways from this session is how important liquidity really is. If you cannot get in and out of a trade smoothly, nothing else matters. Open interest, volume, and tight spreads are not technical jargon. They are the difference between freedom and being stuck in a bad trade with no exit.Risk management takes center stage in this lesson, exactly where it belongs. Every position is treated as a cost to find out if a trade will work, not a lottery ticket. Stops exist to protect capital, not pride. One rule stands out above everything else: stops only move in one direction. Up. Never down.Here are a few of the most powerful concepts covered in this class:✅ How to define exactly what you are allowed to trade based on skill and comfort✅ Why liquidity rules protect you from disaster before it ever happens✅ How market conditions decide when you trade, not emotions✅ How to build position size from your stop loss backward✅ Why consistent risk per trade creates long term stabilityPosition sizing through volatility and ATR gets broken down in a way that actually clicks. Instead of risking random amounts on different stocks, each trade is normalized so the dollar risk stays consistent across everything you trade. That means no single trade can secretly sink your account while you are not paying attention.There is also a strong focus on protecting the account first. Not dreams. Not ego. Not fantasy profits. Protect the account. Starting at one percent risk is not playing small. It is playing smart. Scaling too fast destroys more traders than bad entries ever will. Survival is the first win.This session also makes something very clear. No one else is responsible for your rules. No one is coming to save you if those rules get broken. You are in control of what you trade, when you trade, and how much you risk. That responsibility is what turns trading from gambling into a real business.The homework is simple, but not easy. Build your own rules. Do not copy someone else’s plan word for word. Learn from frameworks. Borrow what works. But your execution must always be your own.If you want to stop guessing and start trading with confidence, this lesson is required watching.Gain instant access to the AI-powered tools and behavioral insights top traders use to spot big moves before the crowd. Start trading smarter today 👉 https://ovtlyr.comSubscribe for more real talk and real signals. No fluff, no noise. Just strategies that help you save time, make money, and start winning with less risk.👉 https://www.youtube.com/@ovtlyrdotcom#tradingplan #riskmanagement #positionsizing #optionstrading #stockmarketeducation #tradingpsychology #daytradingstrategy #swingtrading #investingeducation #OVTLYR


    MONEY MOVES‼️ 2 New Stocks, 2 Rolled & 2 Closed for BIG BUCKS‼️ Dec 03, 2025
    Show notes

    Are you looking to save time, make money, and start winning with less risk? Then head to https://www.ovtlyr.com.Trading days like this feel like controlled chaos in the best way. Screens are moving, alerts are popping, and decisions are getting made fast. There is no slow build up, no perfect timing. It is just taking what the market gives and managing it the right way. Positions get checked, rules get followed, and capital gets moved with purpose instead of emotion.It starts with looking over what is already on the board. Some trades feel like they should be rolled, but once extrinsic value gets checked, they get left alone. That part matters more than it sounds. Skipping a bad adjustment is just as important as making a good one. When a roll actually makes sense, it gets done for a credit. Risk instantly comes off the table and buying power frees up almost right away. That shift from feeling boxed in to suddenly having flexibility again is one of those things traders really learn to appreciate over time.Then comes trimming the fat. A couple of trades get closed because the reason for being in them is gone. What makes this part interesting is that even with the stock moving against the position, the options still come off for small wins or near breakeven. That is volatility and time decay doing what they do best behind the scenes. It is a great reminder that options are not just about direction. Structure matters just as much.Here are some of the ideas that hit during all of this:✅ Rolling trades at logical ATR levels instead of guessing✅ Refusing to roll for a debit✅ Letting extrinsic value drive decisions✅ Closing trades clean instead of trying to rescue them✅ Keeping dollar risk the same even when contract size changesAfter a couple of rolls and a couple of clean exits, the whole account posture changes. What was fully tied up suddenly has real buying power again. And it does not sit on the sidelines. Fresh trades go on using sector strength, liquidity checks, and volatility-based sizing. One position ends up with over a hundred contracts. Another uses a much smaller number. Same dollar risk on both. That contrast trips people out at first, but it is exactly how volatility-based position sizing is supposed to work.One of the most satisfying parts is watching buying power climb from nearly zero to tens of thousands of dollars without adding a single dollar to the account. No leverage tricks. No new deposits. Just proper trade management creating flexibility again. That capital immediately gets recycled into new setups that follow the same rules as everything else.There is also a bigger mindset shift quietly happening in the background. Risk is not about how big a position looks on the screen. It is about how much dollar exposure is tied to volatility. Two trades can look completely different and still carry the exact same real risk when sized correctly. Once that really clicks, the emotional side of trading starts to quiet down.Everything shown here lines up with the way risk, exposure, and sizing are taught inside OVTLYR University. No hype. No miracle moves. Just structure, rules, and fast decisions backed by data. If fast markets have ever felt overwhelming, this kind of workflow shows how structure keeps everything grounded even when things are moving quickly.Gain instant access to the AI-powered tools and behavioral insights top traders use to spot big moves before the crowd. Start trading smarter today 👉 https://ovtlyr.comSubscribe for more real talk and real signals. No fluff, no noise. Just strategies that help you save time, make money, and start winning with less risk.👉 https://www.youtube.com/@ovtlyrdotcom#optionsTrading #tradeRecap #riskManagement #optionsRolling #ATRtrading #volatilityTrading #portfolioManagement #activeTrading #tradingDiscipline #optionsStrategy #tradingEducation #dayTrading #swingTrading


    Ranking the Stocks in My Portfolio (2 Have to Go!) Dec 02, 2025
    Show notes

    Are you looking to save time, make money, and start winning with less risk? Then head to https://www.ovtlyr.com.If you have ever wondered what trading actually looks like when it is done with structure, discipline, and zero drama, this session pulls the curtain all the way back. This is not about chasing headlines or falling in love with random tickers. This is about following a written plan, cutting what no longer fits, and only adding risk when the market, sectors, and signals all line up.The first big takeaway is how existing trades are managed before anything new even enters the picture. Positions that violate the rules get removed. No hesitation. No emotional attachment. That alone is a massive edge most traders never develop. From there, the focus shifts to the overall market environment. Trend structure, breadth, and fear and greed readings decide whether trading is even allowed that day. If the market is not aligned, the answer is simple. Stand down.Once the market earns permission, the process narrows quickly into sector strength. Some areas are hot. Some are not. Capital only flows toward what is actively working. That means weak sectors are filtered out fast while strong ones get deeper attention. This keeps you positioned where momentum actually lives instead of where hope wants to be.You also get a real look at how watchlists are built and cleaned in real time. Stocks move on and off the favorites list strictly based on signals. No guessing. No opinions. Just yes or no. That speed and clarity removes stress and keeps decisions clean.Here is a snapshot of what gets broken down:✅ How rule based exits remove fear and second guessing✅ How market and sector alignment filter bad trades fast✅ Why boring trades usually outperform exciting ones✅ How order blocks and ATR guide smarter risk control✅ How option contracts are selected using liquidity, delta, and extrinsic valueThe options section is especially eye opening. Instead of random strikes and expirations, the focus stays on tight bid ask spreads, solid open interest, controlled extrinsic value, and higher delta contracts. The goal is not gambling. The goal is structured leverage that behaves with the stock instead of against it.Throughout the session, one message keeps getting reinforced. Have a plan. Execute the plan. Do nothing that breaks the plan. Trading is treated like a business, not a thrill ride. If it feels exciting, something is probably wrong. The most consistent profits come from repeating boring, high probability actions over and over.You also see how rolling positions reduces risk while freeing up capital for new opportunities, how favorites lists simplify decision making, and how exits are visually automated so there is never confusion about what to do next. Even the discussion around hot sectors reinforces an old but powerful idea. You want to be where momentum is already flowing, not where you wish it would go.If you are tired of emotional trading, overtrading, and mixed signals, this session gives you a cleaner way forward. It shows how professionals think, how they filter noise, and how they stay consistent without the stress.Gain instant access to the AI-powered tools and behavioral insights top traders use to spot big moves before the crowd. Start trading smarter today 👉 https://ovtlyr.comSubscribe for more real talk and real signals. No fluff, no noise. Just strategies that help you save time, make money, and start winning with less risk.👉 https://www.youtube.com/@ovtlyrdotcom#optionsTrading #stockMarketLive #swingTrading #dayTradingStrategy #riskManagement #technicalAnalysis #tradingPsychology #marketTrends #optionsEducation #financialFreedom


    I Just Went All In‼️ Dec 02, 2025
    Show notes

    Are you looking to save time, make money, and start winning with less risk? Then head to https://www.ovtlyr.com.Today was one of those rare trading days where everything finally lined up. After sitting in cash and waiting patiently, the portfolio goes nearly all-in across nine different stocks, all driven by market trend, sector strength, and precise options execution. This video walks you through exactly how that transition happens, step by step, in real time.It all starts at the top with the broader market. The S&P 500 trend, market breadth, and the fear and greed readings are the first gates that must open before any capital moves. Once those signals align, the focus shifts to sector rotation. Financials, real estate, and utilities rise to the top while weaker sectors get filtered out. From there, individual stocks are screened using buy signals, price location relative to order blocks, and clean technical structure.Instead of tying up massive capital in shares, this portfolio uses deep in-the-money call options as stock replacement. That allows broad diversification without overexposing the account to one ticker. ATR is used to size positions properly, so volatility controls risk instead of emotion. Every trade has defined risk before the order is ever placed.✅ How market, sector, and stock filters stack together✅ Why deep ITM calls can replace stock✅ How ATR controls position size and stops✅ Why rolling at half ATR reduces downside risk✅ How to stay disciplined when fully invested✅ Why losers are built into every winning systemYou also get a real look at how rolling works in practice. At half ATR, partial risk is removed by rolling contracts forward, which lowers exposure while keeping the trade alive. This is where the strategy becomes truly defensive. It is not about guessing where price will go next. It is about managing risk while letting probability work.This video also pulls back the curtain on what trading really looks like behind the scenes. There is no flashy shortcut here. It is spreadsheets, position sizing, stops, and rules being followed without hesitation. Managing nine positions at once is real work, and you see exactly what that workload looks like. This is the side of trading most people never show.Backtesting confirms the reality. The system includes losers by design. The power comes from cutting losses quickly while allowing winners to expand. The goal is not to win every trade. The goal is to stay consistent when emotions try to get in the way.If you have ever wondered what it actually looks like to go from sitting in cash to being fully deployed with confidence and structure, this video shows the entire process from start to finish. Everything is built around the OVTLYR ecosystem and the tools that support it.Stick around, watch how the entries unfold, and see how exits and rolling protect the portfolio after the fact. This is what trading looks like when a plan is actually being executed.Gain instant access to the AI-powered tools and behavioral insights top traders use to spot big moves before the crowd. Start trading smarter today 👉 https://ovtlyr.comSubscribe for more real talk and real signals. No fluff, no noise. Just strategies that help you save time, make money, and start winning with less risk.👉 https://www.youtube.com/@ovtlyrdotcom#stocktrading #optionstrading #swingtrading #daytrader #tradingstrategy #riskmanagement #technicalanalysis #marketanalysis #optionseducation #investingeducation #traderlife


    DAN ZANGER | Breakout Trading Strategies | World Record Returns! Dec 01, 2025
    Show notes

    Are you looking to save time, make money, and start winning with less risk? Then head to https://www.ovtlyr.com.This session is all about patience, discipline, and learning how to trade with purpose instead of emotion. If you have ever felt the urge to chase trades, buy too early, or hold a loser way too long, this one hits home in a big way. We dive into the mindset of waiting for the right moment, letting the data lead, and trusting the plan even when the market feels quiet.You will hear real talk about breakout trading, momentum, and why most traders lose money trying to predict instead of react. The focus stays on buying strength, not hoping for reversals, and on cutting risk fast when a trade does not work. There is also a powerful reminder that being wrong is part of trading. Staying wrong is what destroys accounts.We walk through how massive gains are built by waiting for clean setups, rising volume, and proper structure in the trend. No guessing. No revenge trading. Just rules, patience, and execution. Along the way, the energy stays fun with Big Money Bingo, live reactions, holiday merch giveaways, and a community that keeps things light while staying serious about getting better.Here are a few core ideas that really stand out in this session:✅ Why breakouts work best when volume supports the move✅ How fast exits protect you from emotional damage and big losses✅ Why trends matter more than predicting bottoms✅ How disciplined traders survive where most burn out✅ What it truly means to protect your account and your futureWe also take a live look at market structure, sector strength, and breadth to determine when conditions are actually aligned for trading. The emphasis stays on confirmation, not prediction. When the 10 is over the 20 and price is over the 50, the trend earns your attention. When it is not, you sit in cash and stay patient.On the options side, liquidity, spreads, and risk are front and center. You get a real-time look at how trades are filtered, how expiration and delta are chosen, and why it matters to reduce risk even when a setup looks great. This is trading as a process, not gambling on hope.There is also a strong focus on mindset. Most traders do not fail because they lack indicators. They fail because they break their rules under pressure. This session drives home the idea that emotional control is a skill you build, not something you magically wake up with. Discipline is trained through repetition, not motivation.If you are serious about becoming consistent, staying in the game long term, and building a rules-based approach that actually makes sense, this episode gives you both the strategy and the psychological foundation to move forward with confidence.Gain instant access to the AI-powered tools and behavioral insights top traders use to spot big moves before the crowd. Start trading smarter today 👉 https://ovtlyr.comSubscribe for more real talk and real signals. No fluff, no noise. Just strategies that help you save time, make money, and start winning with less risk.👉 https://www.youtube.com/@ovtlyrdotcom📌 Video: https://youtu.be/7WFjTGNgYfc#trading #breakouttrading #stockmarket #options #momentumtrading #riskmanagement #marketstructure #marketbreadth #daytrading #swingtrading #financialeducation #OVTLYR


    ⚠️WATCH BEFORE YOU BUY THE DIP⛔ IF YOU OWN #PLTR #SOFI #NVDA #AMD #HOOD #TSLA Nov 29, 2025
    Show notes

    Are you looking to save time, make money, and start winning with less risk? Then head to https://www.ovtlyr.com.Is this really the perfect moment to buy the dip, or is this where most traders get trapped? If you own PLTR, SOFI, NVDA, AMD, HOOD, or TSLA, this breakdown walks through exactly what is happening across tech, speculative growth, AI leaders, and retail favorites right now. This is not hype. This is about understanding risk, momentum, sentiment, and whether the current pullback is setting up opportunity or danger.Dip buying works only when the market structure agrees. In this video, the focus stays locked on trend strength, volatility behavior, emotional decision making, and the difference between disciplined buying and emotional chasing. These are the moments where accounts are either built over time or damaged quickly by impatience.Each stock covered in this video carries a different kind of risk profile. Some offer long-term innovation exposure. Some reflect pure speculation and trader emotion. Others sit at the center of the AI cycle and global institutional positioning. The real edge comes from understanding how they interact inside the broader market environment instead of treating them like isolated memes.You will see why some dips recover fast while others continue to spiral lower. You will learn how professionals think about capital protection during uncertainty. You will also gain clarity on what signals matter most when volatility is high and headlines are loud.✅ How to spot the difference between a healthy pullback and a real breakdown✅ Why emotional dip buying destroys more accounts than bad charts ever will✅ What rising volatility means for short term traders and long term investors✅ How penalties accelerate when support fails across major tech stocks✅ The one mistake that causes traders to double down at the worst possible momentThis is not about predicting exact bottoms. It is about stacking probabilities in your favor so that every decision has structure behind it. That approach allows traders to survive losing streaks, protect gains, and stay in the game long enough for big opportunities to matter.Whether you are holding TSLA for the long run, trading NVDA for momentum, watching PLTR for breakout potential, or speculating in SOFI and HOOD for volatility, this video helps you align your expectations with real market behavior.If you are tired of chasing green candles after the move already happened, if you want to stop reacting emotionally to red days, and if you want to learn how disciplined traders actually survive drawdowns, this breakdown is required viewing.Subscribe for daily market breakdowns, real time technical analysis, and disciplined trading education built for traders who want to grow without blowing up.NO INVESTMENT ADVICE. The information available through the Service is for general informational purposes only and references to specific securities, investment programs or funds are only for illustrative or educational purposes. No portion of the Service is a solicitation, recommendation, endorsement, or offer by OVTLYR or any third-party service provider to buy or sell any securities or financial instruments. You should not construe any such information or other material on the Service as legal, tax, investment, financial, or other advice. OVTLYR is not a fiduciary by virtue of any person's use of the Service. You alone assume the sole responsibility for evaluating the merits and risks associated with your use of any information on the Service. Nothing herein constitutes an offer or a solicitation of the purchase or sale of any security to any person in any jurisdiction in which such an offer or solicitation is not authorized. All purchases and sales of securities must and are to be made through a registered securities broker or dealer of your choosing with whom you have a contractual relationship and have agreed to accept such broker's or dealer's terms and conditions.


    Mastering Implied Volatility: What Options Traders Need to Know Nov 26, 2025
    Show notes

    Are you looking to save time, make money, and start winning with less risk? Then head to https://www.ovtlyr.com.Implied volatility can feel like this mysterious force that either supercharges your options trades or completely blindsides you when you least expect it. If you’ve ever wondered why an option loses value even when the stock moves in your direction, this breakdown is going to make things a whole lot clearer.In this session, we dig into implied volatility in a way that actually feels understandable. Nothing overcomplicated. Nothing academic. Just straight talk about how IV works, why it matters, and how it quietly shapes every option price on your screen. You’ll see how intrinsic value, extrinsic value, and Vega all play a role, and how each one affects the real money side of your trading. If you’ve ever stared at an options chain thinking, “What am I even looking at?” you’re in the right place.We walk through how IV spikes before earnings, why it collapses after, and how that moment can make or break a trade. There are clear examples using SPY, NVDA, SoFi, meme stocks, and deep in the money call setups. You’ll see exactly why some strategies suffer when volatility changes and why others barely feel it. And yes, we take time to break down spreads, strangles, and why certain strategies get traders into trouble faster than they realize.Right in the middle of the lesson, you’ll see how everything ties back to understanding your extrinsic value. When you know what part of your option is “uncertainty pricing,” you suddenly understand why IV crush feels so brutal on certain trades and barely noticeable on deep in the money positions.Here’s what you’ll be able to walk away with:✅ Why implied volatility rises and falls✅ How intrinsic and extrinsic value actually shape your option price✅ Why at the money options are most sensitive to IV shifts✅ What really happens during earnings IV crush✅ How deep in the money calls avoid most volatility trapsThere are plenty of chart comparisons, profit scenarios, and real-market examples so you can see the concepts play out visually. When you watch the GME example where the stock dropped but the put still lost value, it suddenly clicks why traders get confused. It wasn’t the direction. It was the extrinsic value collapsing faster than the intrinsic value could grow.If you’re following along with OVTLYR University, this fits right into the bigger plan of helping traders build real skill instead of relying on guesswork. The goal is to make every part of options trading feel less intimidating and way more actionable. Nothing here is theory for theory’s sake. It’s practical knowledge designed to help you trade more confidently and avoid unnecessary mistakes.By the time you finish the session, you’ll understand why volatility behaves the way it does, how it impacts your trades, and how to use that knowledge to your advantage. And if you want to go even deeper, check out the related videos at the end.Gain instant access to the AI-powered tools and behavioral insights top traders use to spot big moves before the crowd. Start trading smarter today 👉 https://ovtlyr.comSubscribe for more real talk and real signals. No fluff, no noise. Just strategies that help you save time, make money, and start winning with less risk.👉 https://www.youtube.com/@ovtlyrdotcom📌 Video: https://youtu.be/NEakTsocOEU#options #optionstrading #impliedvolatility #IVcrush #tradingstrategy #investing #stocks #optionstrader #marketanalysis #OVTLYR


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