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Tom King Trades
United States
เข้าร่วมเมื่อ 24 มี.ค. 2023
Welcome! As a trader for over 35 years, I'm sharing my trades as both education and entertainment for others to potentially improve their returns using options and futures.
CONSISTENT - MECHANICAL - REPEATABLE
The stock market can be difficult to trade and stay successful long term, but I have an edge that can put the probabilities in our favor...it is SELLING OPTIONS! And to make it even better...we sell options on futures!
As a theta trader, I collect daily, weekly and monthly premium and use the strategies that give me the best probabilities of success.
I employ a well-defined trading plan, using mechanical and repeatable strategies that take the guesswork out of trading.
I have over 30 years trading options and futures and I have tried everything in the market. Won and lost small fortunes, but have found that selling options (and more specially options on futures) is the most profitable trading approach over the long term!
Enjoy the ride with me.
CONSISTENT - MECHANICAL - REPEATABLE
The stock market can be difficult to trade and stay successful long term, but I have an edge that can put the probabilities in our favor...it is SELLING OPTIONS! And to make it even better...we sell options on futures!
As a theta trader, I collect daily, weekly and monthly premium and use the strategies that give me the best probabilities of success.
I employ a well-defined trading plan, using mechanical and repeatable strategies that take the guesswork out of trading.
I have over 30 years trading options and futures and I have tried everything in the market. Won and lost small fortunes, but have found that selling options (and more specially options on futures) is the most profitable trading approach over the long term!
Enjoy the ride with me.
Selloff Survival Strategies - Navigating the Markets
Follow my journey of selling options on futures live and see how I build and work my trading plan.
For live trading, detailed trade specifics and to see how I manage my trades in real time and make trading decisions and for more advanced trading education, courses, and a great trading community, visit:
Income Navigator: Income Trading, 112 Trades, Strangles, Naked Puts, Credit Spreads
mrtoptick.com/income-navigator
Use the code KING for a $50 discount on the first month!
Join the Discord at mrtoptick.com/discord
Learn how to trade options and futures using strategies that are consistent, mechanical and repeatable.
✅Twitter at tommking7
If you enjoyed this video, make sure to subscribe ✅ to this channel!
DISCLAIMER:
Not Financial Advice! This content is for Entertainment and Educational Purposes Only. All financial decisions made by the viewer should be done after talking with a licensed professional. You assume all risks associated with your trading.
For live trading, detailed trade specifics and to see how I manage my trades in real time and make trading decisions and for more advanced trading education, courses, and a great trading community, visit:
Income Navigator: Income Trading, 112 Trades, Strangles, Naked Puts, Credit Spreads
mrtoptick.com/income-navigator
Use the code KING for a $50 discount on the first month!
Join the Discord at mrtoptick.com/discord
Learn how to trade options and futures using strategies that are consistent, mechanical and repeatable.
✅Twitter at tommking7
If you enjoyed this video, make sure to subscribe ✅ to this channel!
DISCLAIMER:
Not Financial Advice! This content is for Entertainment and Educational Purposes Only. All financial decisions made by the viewer should be done after talking with a licensed professional. You assume all risks associated with your trading.
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AMD PMCC trade issue I see: Although the margin requirement is about half, you are paying about $3000 for a trade with $2000 of intrinsic value if you covered your short call with the long call. You’d be losing $1000. My understanding for a PMCC to work is that your cost has to be less than the spread for it to make sense. Thoughts? How do you resolve this in planning or trade? I always appreciate the videos! Thank you, Tom.
Some sticky inflation but disinflation is the trend. Watch jobs. That may get more rate cuts as 2025 progresses
Volmageddon
Thanks for your insights. Interestingly enough,you were right about buying when people are fearful. What happens when fear lasts for a few months?
#1 selloff survival strategy - don't trade short puts.
Oh, thanks for that video
01:55---pointing out to fear for not a whole lottsa reasons....more tax selling on big gains, then after Christmas??
Thanks Tom for the market review. Which DTE on NVDA you have Naked put and JLizard? Do you sell Naked Puts on Stocks at 5 Delta and 90 to 120 DTE like you do on index naked puts?
Excellent video thanks
tom king , wheel strategies ?
What trading platform do you use Tom?
Tasty Trade
For the ITM CC if the stock price does not reach it do you roll it?
Nice video
How much capital was needed to make the $28K this month?
Damn 60 days out wow.. when u have 100k to 500k those 2% a week is amazing premiums to make and use those premiums for dividend stocks or shares
You are really capping your gains. If NVDA shoots up 10% in a week your ITM covered call is going to eat most of your leap gains. The “juice” man on the other channel has lost a ton of gains in TSLA doing the PMCC with ITM covered call. Not sure i’m a fan of the strategy.
@@KerryFrishman I totally get it. Not sure who the juice man is, but as a theta trader I am looking for primarily income generation. I 100% agree that selling covered calls caps your gains. It’s really a matter of your trading style, your wrist tolerance, and your goals. For me, I like making a consistent 2 to 3% a month.
@@KerryFrishman I am mainly sharing trade ideas. If you like the set up and have a strategy that you prefer, that’s what I would stick with. I’m just sharing some ideas that I might use so that others can get potential ideas.
Better buy about 360 Days Long call delta 80 an then sell 30 days Calls by delta 20 and do this the hole year
Hello Tom, On NVDA trade of -125C, if stoc is <125 you keep the premium otherwise you lose it. I was confused with your senario. Thanks
AMD intrinsic value is probably around $85. More downside to go.
What if AMD goes up by 10$ wouldnt that sold call cost you more to close out than what uou received in est value or is it off set because the long call? Thanks alot just found your channel and trying to learn knew strategies.
It doesent work you right you Lose the hole Trade.You have to buy the Front call back for a loser and the lc bring you Not enugh in Profit.It is no the same then coverd call deep in the money
Holy crap the Nvda explanation was all over the place
Sounds like you’re going for the “juice”. Gotta love it. Thanks Tom for the content and strategies.
Great content. Nice charts by the way... I like you're in the money PMMC strategy on NVDA my question is close to expiry - Do you roll it out or do you take assignment of short shares? When I do this strategy, I roll for a credit, but I've never ITM. Thanks in advance..
@@MrSkywryter you can roll for a credit or close the trade for a win. If ITM CC is a loser, then you keep the extrinsic and your longs grow.
@@TommKing13 as I was signing off last night, I realize closing the trades probably the way to go. Thank you very much -n appreciate the content.
Hi Tom, I remember a while back you said you don’t like to trade options on individual stocks, what changed your mind?
@@rickphillips381 I still hate most stocks. I will trade some higher quality names and invest in some as well. But my list is very small. I prefer indexes and ETFs. Just sharing some ideas.
@@TommKing13 Got it, thank you for responding 👊🏻
WOW... two videos in one day!! Thanks Tom!!
Great staff. Thank you for sharing. I am making money too.
I really enjoyed your last video, where you showcased variations of trading strategies like the bull trap and jade lizard, in addition to your well-known bear trap. This one is also very informative! Tom, to be honest, I prefer your futures trading content over the more volatile equities like MSTR or IBIT. You always emphasize strategies like the strangle or 1-1-2, primarily for futures. Would you consider applying jade lizards or bull trap or PMCC strategies to futures as well?
@@applemahmud2692 PMCC and Jade Lizard can be applied to futures as well. Will likely see some as setups warrant.
MOVE moved up, i presume that's bad for existing positions.
Thanks Tom! You’re the best
I need to switch to Tasty because margin requirement for shorting MSTR calls is 400% of underlying.
400% margin is required for my Etrade account.
I am curious why dont you use other brokers that have money market, so you can still get 4-5% interest from the 500k cash sitting in the account. Also thank you for your videos, you opened my eyes to option and future
There are good and bads to each broker. I like TT and am fine without the cash sweep for interest for now. I can use T Bills, BIL or Box Spreads for income.
Thanks Tom for sharing your setups ☺️
I see you have Boeing on watch list. She s quietly taking off 747 style ..even with a weaker Dow and all that focus on The Nas…
The buying power on these trades indicates Portfolio Margin, correct? When I set them up on my TT RegT account the margin requirement is much higher. I think you might have mentioned that before.
@@ruskface yes. This is a PM account.
IT'S A TRAP! Well, Yea.
Thanks! Tom!!
The MSTR trade is not a jade lizard. A jade lizard is when you sell a put and sell a call spread. The trade you have on is called a “twisted sister”.
@@PremiumTrader it’s a long jade lizard on my platform but the name is not important.
@@TommKing13 wouldn’t “long” indicate it’s a net debit versus credit? I would say a long Jade lizzard is buying a put and buying a credit spread. I think terminology is important. There’s a big difference between a bear call spread and a bull put spread. Same applies to a jade lizard and its opposite trade the twisted sister.
@PremiumTrader : I like your comment! You got me become your subscriber. Thanks ❤
Tom could I ask your help for a friend that had a bad trade.My friend she had a cash secured Put on PayPal a few years ago.She got assigned 100 shares @$280.00 per shares of PYPL.She thought the stock would come back.She has a huge unrealized loss and she doesn't want to sell short calls against her position.She would like to chip away at her loss.She was thinking of doing Put debit spreads on PYPL as price moves up to hedge her loss.Tom is there any other option strategy that she could use so she can study with paper money before applying what you suggest?PLEASE HELP!!!!!
Hey Tom, great content. Any chance all future TH-cam videos as short as possible. When it get stretches for long time, loses interest..
I disagree, longer is better to get across all the details and possible options. Just work on your attention span 😜🫶
@@cleanslateofficiallol
With selling short term calls on MARA using poor man covered call , what would you do if you sold a call and your Sell Call strike got breached ? What would happen if you did nothing ? Would the broker close down your poor Deep in the money LEAPs? Would you buy back the call that you sold initially for a loss and then sell another call against it ? Meaning close down the sell call leg and roll out another week and roll your sell call strike up ?
So the video is on selling puts not buying leaps...
FYI, PLTR may be admitted to the NDX tomorrow, historically, previous new comers into the index saw a 1-1.5% pop, but then faded after a couple weeks, I plan to exit my Sept leaps when this occurs.
VIX is way too low to sell any premium on ES. OVX has been a bit better for oil and GVZ has been too low too. We need some volatility
Yep
Hold my beer
Pltr who wants to own that😂 I'm cool only making 3% McDonald's only a 10% gain.Not enough
Love your ideas, Tom. Please keep them coming.
Nice PLTR move Tom. I have to get caught up on your videos.
Hi Tom, just wanted to say that I am glad I found your channel. We have similar perspectives and trading personalities. Getting lots of value. Thank you sir.
I appreciated and learn from you sharing your trades, very much appreciated and enjoyed.
Great Video. I sell cash secured puts on quality stocks . Just for sake of the example , if I was to sell Naked puts on SPX or XSP using margin on a Monday with option expiration on Friday and hypothetically SPX drops , when Would I exactly get margin called and roughly by how much ? How much time would the broker give me to fund my account before they liquidate my naked put option and close the trade ? Also, if I was to sell cash secured put option on XSP, how much cash would I need on the broker to do so ? 🙏🙏
Thank you