Tales of a Technician: How to Deal with Price Gaps
March 26, 2018
Price gaps are a pain. They rob traders of ideal entry points and throw a wrench into clean price patterns.
March 26, 2018
Price gaps are a pain. They rob traders of ideal entry points and throw a wrench into clean price patterns.
March 18, 2018
Last update: August 2021 For the degenerate speculator, long calls are the best. They offer a leveraged payoff that keeps you coming back for more. Of course, that’s if you’re right. The challenge is they’re dang tricky to minimize loss with if prices sour. But that’s a topic for another day. Today we’re talking aboutREAD MORE
November 12, 2017
The way that you go about hedging varies depending on what your strategy is. Come learn how to hedge a naughty naked put.
June 28, 2017
I elected to do a video for today’s post. Within I identify the market trends that interest me right now (retail, oil, small-caps). I also went through some practice examples of managing open option positions and reviewed my thought process for managing and making adjustments. Enjoy! Your browser does not support the video tag. BULLREAD MORE
December 8, 2016
Want to know how I would have managed the bullish risk reversal trade on X from last weekend’s commodity report? Feast yer eyes on this: Your browser does not support the video tag.
August 31, 2016
Last week I addressed how to invest with stocks at all-time highs. The conversation focused on longer-term investors’ leery of putting new money to work with the market seemingly skirting the stratosphere. Today I want to pivot the discussion toward active traders.
August 24, 2016
A common fear plaguing the masses these days is how to invest with a market at all-time highs.
June 29, 2016
The world of “what-ifs” is exciting, but often becomes an endless stream of time-wasting if one forgets to bring along a dash of moderation. Sometimes excessive tinkering yields the complete opposite result than originally intended.
June 1, 2016
Once upon a time there was a trader named Goldilocks. Her days were spent roaming the halls of Wall Street, reading charts, and deploying lots and lots of dough.
November 29, 2015
There’s a particular phrase I suspect you have come across in your journey, but have yet to fully grasp its relevance. It’s known as risk-adjusted returns. I wanted to take a deep dive into the topic for selfish purposes.
August 11, 2015
NEW POSITION SIZING TOOL !! **Special thanks to MARIUS POSOGAN, a pro member of Tackle for building this for us.. SIMPLE to use – – First, enter risk tolerance amount on top – then enter Trigger points for entry & exit – Delta of the option you want to purchase, RESULT: and it will tell youREAD MORE
June 18, 2015
By Tim Justice
In this tutorial video, Coach T shows how to manage a credit spread and how to set up a contingency in ThinkOrSwim.
April 14, 2015
By Matt Justice
Coach Matt from Tackle Trading looks at how to use trade management in credit spreads and naked puts to maximize your monthly cash flow. — Tackle Trading LLC (“Tackle Trading”) is providing this website and any related materials, including newsletters, blog posts, videos, social media postings and any other communications (collectively, the “Materials”) on anREAD MORE
February 14, 2015
By Tim Justice
In this edition, Coach T answers a question regarding the risk management of a credit spread in Thinkorswim (TOS).
January 26, 2015
I have been getting a lot of questions on how much you should risk while trading, so I wanted to post a very popular allocation formula that I use.
January 14, 2015
Why turning long calls or puts into spreads? Continue reading!
January 5, 2015
By Matt Justice
Coach Matt uses the OnDemand system withing ThinkorSwim to show everyone how to manage a credit trade net liquidation value. — Tackle Trading LLC (“Tackle Trading”) is providing this website and any related materials, including newsletters, blog posts, videos, social media postings and any other communications (collectively, the “Materials”) on an “as-is” basis. This meansREAD MORE
October 1, 2014
By Tim Justice
Morning Mailbag! In this edition of the morning mailbag, I address how to manage an Iron Condor gone wrong and how to setup an exit order for an option spread using a contingency. Morning Tim, I had an Iron Condor with eBay and after yesterday’s move the calls are in the money and the tradeREAD MORE