
The Option Block
Markets and Investing
The Option Block All-Star Panel breaks down the latest developments in the options market, analyzes unusual options activity, explains cutting-edge options strategies, answers listener questions and much more. Whether you're an active options trader...
Location:
United States
Description:
The Option Block All-Star Panel breaks down the latest developments in the options market, analyzes unusual options activity, explains cutting-edge options strategies, answers listener questions and much more. Whether you're an active options trader or just getting started in the options market, The Option Block will keep you informed and entertained.
Language:
English
Episodes
The Option Block 1461: Wizards, Drones, and Massive Relief Rallies
4/16/2026
Is this the "Golden Age" of derivatives trading, or are we just off the rails? In this episode, Mark Longo and the "All-Star Panel" break down an explosive week that saw the S&P 500 rally nearly 700 handles off the lows. With the VIX coming back to earth and new all-time highs on the horizon, the team explores whether the market has finally exhausted the bears.
On the Block:
The Macro View: A look at the 10% gain in the S&P 500 since late March and why the "Dudes" (Big Tech names like Google, Amazon, and Microsoft) are leading the charge.
RMC Recap: Henry "The Flowmaster" Schwartz returns from the Cboe Risk Management Conference with insights on the state of the industry and retail vs. RIA flow at Schwab.
Zero DTE Debate: Is selling zero-day options becoming too crowded, or is there still a "free weekend" to be had?
The Odd Block:
Merlin, Inc. (MRLN): A newcomer specializing in AI-powered autonomous flight (drones). Why is the stock up 300% from its lows?
Compass Therapeutics (CMPX): Massive volume in biotech. Is someone betting on a binary event?
Lucid Group (LCID): While the rest of the market rallies, the EVs are getting shellacked. We look at the bearish flow and potential "line in the sand" puts.
Duration:00:59:20
The Option Block 1460: Stealthy U-Boats and Sneaky Finns
4/13/2026
Markets shrug off geopolitical chaos yet again as the Option Block crew dives into stealthy U-boats, sneaky Finns, and surging stocks. Mark Longo, "Uncle" Mike Tosaw, and Andrew "The Rock Lobster" Giovinazzi break down the latest action in equities, volatility, earnings season, unusual options flow, and strategy in today's volatile environment.
In this episode:
tastytrade — the brokerage built for active options traders, featuring low commissions, powerful analytics, and education for traders of all levels.
Duration:00:57:57
The Option Block 1459: Rallies for Days
4/9/2026
Is the market finally out of the woods, or is this just a massive relief rally? On this episode of The Option Block, Host Mark Longo is joined by "Uncle Mike" Tosaw of St. Charles Wealth Management for "Uncle Mike Spotlight Week." The panel breaks down a market that seems determined to buy every dip following the de-escalation of hostilities in the Persian Gulf.
In this episode, we dive into:
The Trading Block: The S&P 500 eyes the 6,845 level as it nears positive territory for the year. We analyze the "truth" found in the charts versus the news cycle and look at the VIX as it exhales toward the 20 handle.
The Odd Block: A deep dive into unusual activity in Photronics (PLAB) with June 55 calls, a massive swing for the fences in Satellogic (SATL) April 9 calls, and a post-mortem on the heavy volume in Terawulf (WULF).
Big Tech Breakdown: Momentum shifts in Amazon (AMZN) and Meta, a surge in Intel (INTC), and why Palantir (PLTR) is seeing red despite the broader market green.
Mail Call: We review the "Question of the Week" regarding the long-term market impact of Middle East conflict and settle the debate: Microsoft (MSFT) vs. Micron (MU).
Around the Block: What to watch for as we approach the weekend, including WD-40 (WDFC) earnings and the critical technical resistance levels for the major indices.
Duration:00:57:36
The Option Block 1458: The Juice, The Kardashians, and the Bloody Battlefield of VRDN
4/6/2026
In this episode of The Option Block, Host Mark Longo and "Uncle" Mike Tosaw from St. Charles Wealth Management dive into a wild Monday market. With "The Rock Lobster" hitting the slopes, the duo navigates a landscape filled with geopolitical headline risk, 80s sports trivia, and significant technical sell-offs.
The Trading Block: The panel analyzes the "Monday Rally" following a weekend of geopolitical tension. We look at the VIX hanging near 24, the impact of non-farm payrolls on a closed market Friday, and the massive volume in Tesla (TSLA) as it dips below the $350 level. Plus, a breakdown of the top 10 most actives including Intel (INTC), Apple (AAPL), and Nvidia (NVDA).
The Odd Block: It's a "blood-red" day for Veridian Therapeutics (VRDN). We examine the massive 22% drop and the suspicious put activity leading into May earnings. We also revisit Enovix Corp (ENVX) call buying and a "lose-lose" expiration scenario in Magna Corp (MAGN).
Strategy & Mail Block: Uncle Mike discusses Strike Price Selection for covered calls in a high-volatility environment—should you go for the "juice" at-the-money or play it safe? We also reveal the results of our "Gun to your Head" poll: Microsoft (MSFT) vs. Micron (MU).
Duration:00:57:34
The Option Block 1457: The Super Sexy World of Soup Options
4/2/2026
Market volatility is mirroring the spring weather—swinging from 80 degrees to 40 in a flash. Host Mark Longo is joined by "The Flowmaster" Henry Schwartz of Cboe and Uncle Mike Tosaw of St. Charles Wealth Management to break down a record-shattering month in the options market and find out why everyone is suddenly trading... soup?
On this episode, the crew dives into:
The Trading Block: A look at a massive "Red Thursday." We recap the overnight sell-off fueled by geopolitical tensions and the surprising intraday recovery.
Volume Records: March was a "banger." We break down the OCC numbers showing over 1.5 billion contracts traded—the spiciest month in history.
The Odd Block: * Campbell Soup (CPB): Why is there aggressive call buying in a stock the CEO allegedly caught on a hot mic disparaging?
Marathon Digital (MARA): Deciphering the massive roll in the 8.5 calls as crypto miners pivot to AI data centers.
Replimune Group (REPL): A 300% IV biotech play that has "wild" written all over it.
Around the Block: Predictions on the long-term market impact of Middle East conflicts and what to watch for in a truncated holiday week.
Duration:00:57:25
The Option Block 1456: We're All Trading War Bonds Now
3/30/2026
Is the treasury market the new "war bond" front? As conflict-driven volatility continues to grip the markets, the Option Block panel gathers to break down a Monday session defined by crushing vol, shifting correlations, and a flight to safety.
Mark Longo is joined by Uncle Mike Tosaw of St. Charles Wealth Management and Andrew "The Rock Lobster" Giovinazzi from Option Pit to discuss whether we've entered a "sell the rally" regime reminiscent of the 1990s.
In this episode, the team dives into:
The Trading Block: Why the "Grand Conciliatory Gesture" rally failed early, and why small caps are getting rotated into oblivion.
The Odd Block: Unusual activity in Palantir (PLTR), a strange call play in Zoom Info (GTM), and a massive historical "home run" trade in Bilibili (BILI).
The Strategy Block: How to play a 30 VIX using covered calls—should you sell at-the-money for premium or go further out-of-the-money for the eventual relief rally?
Around the Block: Predictions on the "Strait of Hormuz" effect and whether the Fed has officially entered "punt mode" for the rest of 2026.
Duration:00:58:27
The Option Block 1455: Headline Risk and Suspicious Merger Paper
3/26/2026
The markets are seeing red this Thursday, but the action in the pits is heating up. Join Mark Longo, Henry "The Flowmaster" Schwartz, and "Uncle Mike" Tosaw as they break down a wild session dominated by geopolitical tension, spiking energy prices, and some very curious "unusual activity."
In this episode, the panel dives into:
The Trading Block: A look at the "Blood Red Thursday" playbook. With the S&P, Dow, and Nasdaq all sliding, why are VIX puts seeing massive volume? Plus, a look at the "Mag 10" and why small caps are finally feeling the heat.
Suspicious Paper: The team revisits last week's look at Brown-Forman (BF.B). Was it luck, or did someone know something? The stock exploded 15% on merger rumors exactly as the unusual call activity predicted.
Odd Block: Henry highlights unusual bullish flow in Momo (MOMO) and the high-juice world of Bit Deer (BTDR). Is it time to sell covered calls on crypto miners?
Earnings Insight: Why "Love Sack" (LOVE) is the surprise winner of the day and what's expected for Nike's upcoming move.
Mail Block: The listeners weigh in—will the Fed actually cut rates this year? The results are closer than you think.
Duration:01:00:22
The Option Block 1454: The Big Bounce Back?
3/23/2026
The markets are shot out of a cannon this Monday! Host Mark Longo is joined by Uncle Mike Tosaw and Andrew "The Rock Lobster" Giovanizzi to break down a wild "Bounce Back" session driven by shifting geopolitical headlines and "weekend risk" reversals.
On this episode, the panel dives into:
The Trading Block: A massive reversal in the S&P 500 and Nasdaq. Is the "Taco Trade" back in play? Plus, a look at VIX cash flirting with 26 and a surge in April 30 calls.
Odd Block: Unusual activity in a newcomer—TetraTech (TTEK)–and a potential "rubber rebound" in Goodyear Tire (GT).
Strategy Block: Uncle Mike shares a "tool for the toolbox" for covered call writers caught in a downtrend.
Mail Block: The panel debates: Will the Fed actually cut rates again in 2026?
Plus, find out if you know what a "somnambulist" is in our 80s Trivia Challenge!
Duration:01:01:05
The Option Block 1453: Getting Drunk on Crude and Coal
3/19/2026
The "Thursday Effect" strikes again as geopolitical tensions in the Middle East send markets tumbling and volatility spiking. Host Mark Longo is back in the Chicago studio to break down a "Blood-Red Thursday" alongside "Uncle" Mike Tosaw and Henry "The Flowmaster" Schwartz.
The panel dives into the massive VIX rolls, the curious lack of a "flight to quality" in bonds and gold, and why the S&P 500 is struggling to hold the 6500 level. Plus, we look at why traders are suddenly piling into coal and spirits.
In this episode, we discuss:
The Trading Block: Market reaction to Middle East escalations, surging oil, and the VIX hitting 25.
VIX Watch: A massive 250,000-contract roll in May/August 47.50 calls.
The Odd Block: Unusual activity in Alliance Resource Partners (ARLP) and a speculative flurry in Brown-Forman (BF.B).
Mail Block: What's keeping traders up at night? Geopolitical risk vs. sky-high valuations.
Around the Block: What to watch as we head into the weekend, including FedEx earnings and the "Oil VIX" (OVX).
Duration:00:58:46
The Option Block 1452: Beaker's Revenge
3/16/2026
Market volatility is feeling a bit like a Muppet Lab experiment gone wrong. In this episode, Mark Longo is broadcasting from the "Southern Studio" to join "Uncle" Mike Tosaw and Andrew "The Rock Lobster" Giovinazzi for a deep dive into a green Monday that still feels a bit shaky.
On the Docket:
The Trading Block: A look at the green start to the week, the S&P 500 vacillating around 6,700, and why the VIX is holding steady at 24. Plus, the panel discusses the impact of Middle East tensions and oil supply on the broader markets.
The Odd Block: Why did someone bail on a massive long-term call position in KE Holdings (BEKE) after only two days? Also, a look back at a "cemented" winner in Cemex (CX).
The Strategy Block: Uncle Mike discusses "Neutral-ish" strategies and how to get creative with strike selection and call spreads when your favorite stocks are underperforming.
Around the Block: Predictions for Nvidia earnings, Fed speak, and the "lotto ticket" 30-strike VIX calls expiring this week.
Duration:00:56:27
The Option Block 1451: Crude, Vol and Predictions...Oh My!
3/12/2026
Strap in for a high-octane episode of The Option Block as the All-Star panel breaks down a "day trader's paradise." Host Mark Longo is joined by "Uncle Mike" Tosaw (St. Charles Wealth Management) and "The Flowmaster" Henry Schwartz (Cboe Global Markets) to navigate a market defined by red screens, spiking crude oil, and the return of prediction markets.
In this episode, we dive into:
The Trading Block: A look at the "wild and wooly" week in the markets, from the S&P 500 hovering at 6,700 to VIX hitting 35.
The Prediction Game: Why binary event contracts on XSP are the "new hotness" and how Cboe is simplifying the options landscape for new traders.
The Odd Block: Unusual activity in Mosaic (MOS), Barclays (BCS), and a massive 50% jump in Lightwave Logic (LWLG).
Mail Block: The panel answers your questions on the Iran conflict's market impact and whether VIX 70 calls are a genius hedge or "WTF" territory.
Around the Block: Predictions for the week ahead, including earnings from Adobe and Beyond Meat, and why "the only source of unbiased news is the S&P 500 chart."
Duration:00:59:35
The Option Block 1450: Live from the FIA Boca Conference 2026
3/9/2026
Volatility is back with a vengeance! In this special episode, Mark Longo reports live from the FIA Boca Conference 2026 while the markets take a nosedive. As the S&P 500 flirts with red for the year and the VIX threatens the 30-handle, the All-Star panel breaks down the chaos.
Joining Mark to dissect the madness are Andrew "The Rock Lobster" Giovinazzi from OptionPit.com and "Uncle" Mike Tosaw from St. Charles Wealth Management.
On This Episode:
The Trading Block: A deep dive into the "Day Trader's Paradise." We discuss WTI breaking the $100 par strike, the resilience of the S&P 500, and why the small-caps (IWM) are turning back into a pumpkin.
VIX Watch: Analyzing the massive paper hitting the tape, including heavy activity in the April 60 calls.
The Odd Block: The Rock Lobster spots unusual activity in Wells Fargo (WFC), a massive closing trade in United Airlines (UAL), and the wild 38% surge in Hims & Hers (HIMS).
Strategy Block: Uncle Mike schools us on Covered Call management in a falling market. Do you sit on your hands, buy a protective wing, or roll for time?
Around the Block: Predictions for the rest of the week, including the "daily miasma" of oil prices and the "dark horse" potential of Silver and Gold.
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Duration:00:52:42
The Option Block 1449: Yet Another Blood-Red Thursday
3/5/2026
The markets are seeing red, and the "Flowmaster" Henry Schwartz is back to take the blame for another Thursday sell-off! Join Mark Longo, Uncle Mike Tosaw, and Henry Schwartz as they dissect a volatile session where the S&P 500 is testing key levels and the VIX is flirting with a 25 handle.
In this episode, the panel explores the unusual correlation of "risk-off" sentiment—where even gold and silver are being dumped alongside equities—and whether crypto is actually acting as the new flight-to-safety asset.
Key Topics Discussed:
The Trading Block: A deep dive into the VIX spike, the S&P's magnet-like attraction to the 6845 level, and a breakdown of February's record-breaking trading volume (1.32 billion contracts!).
Sector Analysis: Why industrials (XLI) are leading the decline while energy (XLE) remains a lone green shoot.
The Odd Block: Unusual activity in StubHub (STUB) following a post-earnings puke, a predictable "jelly roll" in Hertz (HTZ), and a curious call buyer in Warner Music Group (WMG).
Crypto vs. Metals: Analyzing the surprising resilience of Bitcoin earlier in the week versus the traditional flight to quality in gold.
Mail Block: The panel reviews listener sentiment on cheap VIX puts and how long the current geopolitical conflict will impact market volatility.
Duration:00:57:11
The Option Block 1448: A Surprising Lack of Demolition in the Market
3/2/2026
Despite a weekend filled with geopolitical turmoil and the outbreak of open war in the Middle East, the markets opened Monday with a surprising amount of resilience. Join Mark Longo, "Uncle" Mike Tosaw, and Andrew "The Rock Lobster" Giovinazzi as they break down the "weekend risk" playbook and why the "fade the vol spike" strategy is winning the day.
In this episode, the panel discusses:
The Trading Block: A look at the S&P, NASDAQ, and VIX. Why did the market go from red to green so quickly? Plus, a deep dive into the massive call activity in VIX and SPY.
The Odd Block: Unusual activity in Nokia (NOK) and the "luxury pawn shop" The RealReal (REAL). Is someone betting on a major tech resurgence?
Strategy Block: Uncle Mike breaks down the nuances of Delta weighting with Covered Calls. Learn how to capture premium without capping all your upside.
Around the Block: Predictions for the week ahead, including earnings to watch: Best Buy, Target, Costco, and the volatile ASKS Space Mobile.
Plus: A special "80s Trivia Challenge" featuring a heated debate over the greatest tag team of all time and breaking WWE Hall of Fame news!
Duration:00:57:31
The Option Block 1447: Nvidia Wreckage, Blackberry Bulls, and Robot Butlers
2/26/2026
The markets are seeing red this Thursday as the "Mag 10" takes a hit. On this episode of The Option Block, Mark Longo is joined by Henry Schwartz from Cboe and Mike Tosaw from St. Charles Wealth Management to break down the carnage following NVIDIA's earnings—where even a stellar quarter wasn't enough to satisfy the bulls.
The team explores unusual activity in some unexpected names, including a "blast from the past" tech giant and a newcomer in the "Robot as a Service" space.
On the Docket:
The Trading Block: NVIDIA's worst day in nearly a year. Henry Schwartz breaks down the VIX decomposition and S&P 500 skew, while Mike Tosaw looks at the "flight to safety" in Treasuries (TLT/IEF).
The Odd Block: Why is there massive call paper in Blackberry (BB)? Plus, a look at the wild volume in Rich Tech Robotics (RRTX).
Mail Block: The panel debates how to approach earnings season. Do you sell juice, buy juice, or avoid it altogether?
Around the Block: What to watch for the rest of the week, from PPI data to macro geopolitical tensions in Iran.
Duration:00:59:48
The Option Block 1446: Easy Rice, Bloody Markets and Looming Canadian Invasions
2/23/2026
The sea of green has officially evaporated. On this episode of The Option Block, the All-Star Panel breaks down a brutal Monday as markets leak oil and geopolitical risks shift from the Middle East to Mexico. From the "0DTE-ification" of the major indices to unusual moves in the real estate sector, we're breaking down all the action from the pits to the screen.
The Trading Block:
Weekend Risk Realized: Market bloodletting in the S&P, Dow, and NASDAQ. Is this a "buy the dip" opportunity or the start of a volatility regime shift?
VIX & Vol: Analyzing the VIX cash surge to 21.5 and the backwardation in the front-end term structure.
Tech Churn: Why AI has become a "millstone" around the neck of the Mag Seven.
Earnings Intel: Pricing the "Pizza Vol" for Domino's ($DPZ) and the drama in Himms ($HIMS).
The Odd Block:
Compass ($COMP): A familiar face returns with a massive 16,000-contract put buy. Are they hedging or bracing for a real estate wreck?
PayPal ($PYPL): Takeover rumors swirl as the stock gets a rare shot in the arm.
Strategy Block:
Perfectionism is the Enemy: Uncle Mike breaks down why rigid adherence to strikes is impossible and how a JP Morgan ($JPM) covered call turned into a 4.5% "gift."
Around the Block:
State of the Union Preview: Will Tuesday night's address spark a tariff-driven frenzy?
Canadian Invasions: Why the US victory in hockey might have the Rock Lobster checking his northern border.
Duration:00:58:24
The Option Block 1445: FIG's Post-IPO Rollercoaster & The Silver Magnet
2/19/2026
In this episode of The Option Block, Mark Longo, Mike Tosaw (St. Charles Wealth Management) and Kevin Nichols (Cboe Global Markets) to step into the arena. With the VIX flirting with the 21 level, the panel explores whether the bullish run is finally hitting a wall and if it's time to embrace the "dark side" of the markets.
On the Docket:
The Trading Block: A look at the S&P 500, Nasdaq, and Russell 2000. Plus, why everyone—from the pros to the "amateurs"—is suddenly obsessed with Gold and Silver.
The Odd Block: Unusual activity in Figma (FIG) following earnings and a look at the massive flow in Newmont (NEM).
The Mail Block: Mike Tosaw faces the heat from the Pro Chat: Will he ever buy SLV again, or is he waiting for the 30-handle?
Around the Block: Predictions for Tesla (TSLA) as it gets squeezed between moving averages and what to watch for the rest of the week.
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Duration:00:57:44
The Option Block 1444: Turning Red
2/12/2026
The sea of green has finally evaporated. On this episode, the All-Star Panel breaks down a brutal day of red on the screen as the S&P 500 flirts with its yearly open. From the sudden VIX pop to the "0DTE-ification" of single stocks, we're breaking down all the action from the pits to the screen.
The Trading Block:
Market Bloodletting: The S&P, Dow, and NASDAQ are all in the red. Is this a "Buy The Dip" opportunity or the start of a volatility regime shift?
VIX Hits 20: Analyzing the spike in volatility and the VIX Decomposition—is the whole surface lifting, or are we just sliding down the skew?
0DTE Dominance: New data reveals that 50% of Tesla's (TSLA) volume is now Zero Days to Expiration. We discuss the impact of daily expirations on single-stock liquidity.
Big Tech Carnage: Breaking down the moves in Apple (AAPL), Microsoft (MSFT), and Nvidia (NVDA).
The Odd Block:
Dollar General (DG): Unusual call activity in the "stealth banger" of the year.
AES Corp (AES): Why traders are flocking to utility options amidst the AI power demand surge.
Around the Block:
Earnings Intel: Pricing the moves for Coinbase (COIN) and Rivian (RIVN).
Volatility Death Match 2.0: A preview of the upcoming battle between The Flowmaster Henry Schwartz and Scott Nations.
Contact the Panel:
"Uncle" Mike Tosaw: St. Charles Wealth Management
The "Flowmaster" Henry Schwartz: Cboe Options Institute
Mark "The Voice of Options" Longo: The Options Insider
Duration:00:56:38
The Option Block 1443: How to Get Punched in the Face by Your Broker
2/9/2026
In this episode of The Option Block, Mark Longo, "Uncle" Mike Tosaw, and Andrew "The Rock Lobster" Giovinazzi dive into a wild week of market reversals, Super Bowl takeaways, and a legendary 80s trivia question that leads to some... interesting historical discussions.
The panel breaks down the shift in the AI narrative—from "unlimited upside" to "unlimited spending"—and what it means for the Mag Seven. Plus, they explore the unusual activity in cheap biotechs and the risks of trading wide markets where you might just get "punched in the face" by the spread.
In This Episode:
The 80s Trivia Challenge: A "Steelers choice" round featuring a badly aimed tomahawk and a controversial question about where Hitler wrote Mein Kampf.
The Trading Block: S&P 500 resiliency, VIX hovering near a million contracts a day, and the defensive masterclass of the Super Bowl.
AI & The Creative Destruction: Why the "Mag Seven" might be losing their grip as massive AI infrastructure spending begins to weigh on tech giants like Google, Amazon, and Microsoft.
Odd Block: Unusual activity in Mura Therapeutics (NMRA)—is it a bullish risk reversal or a market maker's trap?
Strategy Block: Uncle Mike discusses the discipline of "having your cake and eating it too" with covered calls and when to exit for 97% profit.
Around the Block: A look ahead at non-farm payrolls, the launch of single-name zero-day options (0DTE), and upcoming earnings for Coke, CVS, Robinhood, and the "dumpster fire" that is Ford.
Duration:00:58:03
The Option Block 1442: Blood-Red Markets and the Death of DUOL
2/5/2026
Blood-Red Markets and the Death of DUOL
The markets are bleeding red, and volatility is finally taking center stage. In this episode of The Option Block, the panel breaks down a brutal session for the indices and the absolute carnage following Duolingo's (DUOL) latest move. From VIX spikes to institutional "Odd Block" flows, we're dissecting the anatomy of a sell-off.
On This Episode, Join:
Mark Longo: Founder & CEO, The Options Insider Media Group
Henry Schwartz: Vice President, Institutional Derivatives, Cboe Global Markets
Mike Tosaw: Wealth Manager, St. Charles Wealth Management
The Docket:
The Trading Block: A post-mortem on today's blood-red market. Henry provides the Cboe perspective on the VIX spike, while the team analyzes the breakdown in tech and why the "buy the dip" mentality is being tested.
The Odd Block: Examining the "Death of DUOL." We break down the massive institutional put buying in Duolingo and the unusual activity that signaled this collapse before the floor fell out.
Strategy Session: Defensive positioning 101. How to manage your long delta when the market turns, and the most cost-effective ways to price tail-risk hedges in the current environment.
Mail Call: Listeners ask about the impact of high-volume sell-offs on spread pricing and how to handle challenged positions in a falling market.
Duration:00:58:15