
The Iran Trade Setup Nobody’s Talking About
Everyone’s watching the Iran situation and looking at the oil sector. That’s the obvious trade… WTI Crude oil passed $100

Everyone’s watching the Iran situation and looking at the oil sector. That’s the obvious trade… WTI Crude oil passed $100

Almost everyone is looking in the wrong direction right now… This $27 million trader said he could start from scratch and make it back to $1 million in 2026. But not the way you think.

Some traders only know how to go long. And they’ll survive in a bull market. Even thrive. But we’re not in a bull market right now…

Fear is everywhere right now. And it’s the number one reason I’m watching this famous stock…

Oil stocks are ripping right now. But this one has a delayed fuse…

Goldman Sachs’ CEO just confirmed my early suspicions about the market, as it relates to the war in Iran. We can use this information to trade…

Traders are still shaken from 2025’s wild run — and it’s showing up in bloated options pricing and exaggerated market moves. Here’s how to stay calm, take measured risk, and exploit mispriced premium.

Thanksgiving is a time for honoring tradition and passing it to others. The same goes for trading.

Nvidia’s monster earnings report lit up the market, but the real lessons came after the move.

AI is driving a massive surge in electricity demand and most investors are missing the real opportunity. Position for the power squeeze before Wall Street catches on.

Buffett’s loading up on Alphabet, Thiel just dumped Nvidia, and the Fed’s caught in another scandal. Here’s what it all means for options traders during this high-stakes week.

With delayed economic data, rising volatility, and a broken macro picture, smart options traders may have a rare edge. Here’s how to play it.

How I learned to stop letting volatility wreck my trades — and the defined-risk strategy I use to stay aggressive without blowing up when the market goes off-script.

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.

While Wall Street’s been glued to the Magnificent Seven, small caps have quietly started to wake up. This breakdown reveals why the Russell 2000’s recent move matters and what traders need to watch as money begins to rotate.