
You’ve Seen the Panic, Now Trade the Reset
The fear is fading, and the market’s resetting. Learn how to trade the next move without chasing, overpaying, or getting whiplashed.

The fear is fading, and the market’s resetting. Learn how to trade the next move without chasing, overpaying, or getting whiplashed.

With CPI data, Thanksgiving chop, and the final Fed decision of the year on deck, this week could be your last clean window for smart setups before the chaos hits.

One overlooked energy stock just posted a blowout earnings report — and it’s already breaking higher. Here’s why energy names are suddenly the smartest place for options traders to hunt big returns this month.
Most traders think a low VIX means the coast is clear — but they’re dead wrong. The real risk is hiding beneath the surface, and here’s where you can find it.

Berkshire Hathaway is sitting on a record $381B in cash while Wall Street braces for a major correction. Here’s what options traders can learn from that kind of patience, and how to prepare for the flood of opportunity ahead.

This week’s setup includes rising futures, strong October momentum carrying over, and inflated premiums — creating prime opportunities for smart premium-selling strategies and post-earnings plays.

The market looks easy, which is exactly when traders blow up. Don’t get cute. Get disciplined.