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Options Fundamentals
Build your foundation from the ground up
Risk Management
Position sizing and portfolio discipline
Probabilities & Math
The law of large numbers at work
Building an Options Portfolio
Construct a diversified options portfolio
The Greeks
Delta, theta, gamma, vega explained
Mental Capital
Master the mental game of trading
Expected Move
Use the market's projected range
Video Library
Strategy breakdowns on YouTube coming soon.
The Income Foundation
Wheel strategy model portfolio with weekly trade alerts and premium-selling education
The Implied Perspective
Advanced implied volatility strategies with IV-ranked trade alerts and weekly analysis
Wealth Without Shares
LEAPS and poor man's covered call portfolio for capital-efficient options income
Total Access
All three options trading services bundled at the best value with full community access
Cash-Secured Puts
Get paid to buy stocks at your target price with defined risk
The Wheel Strategy
Combine cash-secured puts and covered calls for recurring options income
Poor Man's Covered Call
Capital-efficient covered call alternative using LEAPS options
Bear Call Spread
Bearish to neutral credit spread that profits from time decay
Jade Lizard
Eliminate upside risk while collecting premium on neutral setups
Covered Strangle
Sell puts and calls against stock you own for enhanced income
Covered Calls
Generate weekly income by selling calls against shares you own
LEAPS
Long-term options for stock replacement and capital-efficient income
Bull Put Spread
Bullish to neutral credit spread with defined risk and reward
Iron Condor
Sell both sides of the market with defined risk in range-bound conditions
Collar Strategy
Protect stock gains with a put while offsetting cost with a covered call
Ratio Spreads
Advanced multi-leg setups using unequal contract ratios
Our Journey
Talk to Us
Testimonials
The Income Foundation Subscriber Hub
Wealth Without Shares Subscriber Hub
The Implied Perspective Subscriber Hub
Total Access Subscriber Hub
Apr 4, 2026
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16 min read
IV overestimates earnings moves by 15-20%. Learn to sell inflated premium 1-3 days before announcements using iron condors placed outside the expected move, with 6 risk rules for binary events.
8 min read
Most options education only teaches the buyer side. Here is the complete picture: what buyers and sellers each receive, risk, and gain from every options trade.
Apr 2, 2026
17 min read
ECB research shows high-volatility regimes last only ~10 weeks on average (vs 80 weeks for calm). Learn why premium sellers should embrace spikes: 2-3x richer premiums, wider buffers, and mean reversion tailwinds.
Apr 1, 2026
7 min read
New Trade Alert
New Trade
Mar 31, 2026
3 min read
Trimming Our VIX Hedge
9 min read
Small Dogs/Growth Portfolio - Two Trades
VIX above 30 means the same 0.16 delta credit spread collects 50-100% more premium with 2x the buffer. Same probability. 64% more expected income per trade cycle. Here's the playbook.
Mar 30, 2026
Delta is your pre-game win probability. Theta is the clock that pays you. Gamma is the buzzer-beater risk. Learn the four Greeks through the March Madness framework with real SPY trade examples.
Mar 29, 2026
24 min read
VIX Surges Back Above 30, Gold Hits the Ceiling, and the Premium Landscape Transforms
12 min read
Premium is Resetting Across the Board