
Get exclusive trade ideas from Tony 'The BAT' Battista on this Tuesday / Thursday podcast.
| Publishes | Daily | Episodes | 104 | Founded | 5 years ago |
|---|---|---|---|---|---|
| Number of Listeners | Categories | InvestingBusiness | |||

Bloom Energy has gone from $55 to $280 in a year on the AI infrastructure story. It's down today with an IV rank of 72 and monthly implied volatility over 120%. That means the options market is pricing in a stock that can double or go to zero inside ... more
Nine days of gains. Then this. All four indices are in the red and Microsoft is lagging on top of that down today without having participated much in the rally either.
That setup is exactly what this trade looks for. IV rank on MSFT is at 58, which... more
ServiceNow is down almost while the market sits at all-time highs. That kind of divergence is exactly what options traders look for.
The trade: buy one 110 put, sell three 100 puts for a net credit of $190. That structure gives you a break-even nea... more
Apple is down nearly 2% today and IV rank is climbing toward 40. That combination is exactly what you look for before selling a strangle. The trade: sell the 280 put and the 335 call in the July cycle with 46 days to expiration, both at one standard ... more
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Bat gives a great explanation of his thought behind the trades he places.
..which is published on Tuesdays and Thursdays.
Thank you Tony, I love it !
Now a quick 90 second break.
Keep ‘‘em coming do one everyday
Tony is the real deal. I’ve been fortunate enough to meet him in person a couple of times, genuine dude. This podcast is perfect if you are searching for new trades.
I’ve been learning to trade option strategies from Tony for about a decade now. He, and his thoughts NEVER get old. He not only gives the how, but more importantly the WHY. —Pat from Detroit. PISTA of Michigan.
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Listeners, social reach, demographics and more for this podcast.
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This show delivers actionable option-trading ideas and real-time trade walkthroughs, with a clear emphasis on structured strategies, risk management, and platform-specific execution tips. Episodes frequently break down trade construction, position sizing, and adjustments, often highlighting probability of profit, theta decay, and implied volatility to help listeners implement scalable practices across stocks, ETFs, and indices. A standout element is the host's ratio-spread and omnidirectional approach, which pairs technical analysis with practical, step-by-step setups that listeners can replicate. The format routinely reinforces education and platform adoption, making it useful for active retail traders seeking repeatable methodologies and ... more
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