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Options trading insights, scanner updates, and market analysis.

2 Financials Stocks Worth Holding Long-Term (And 1 to Avoid)
Sector AnalysisApril 25, 2026

2 Financials Stocks Worth Holding Long-Term (And 1 to Avoid)

The financials sector has lagged the S&P 500 over the past six months, returning flat while the broader market climbed 5%. We break down two financial stocks worth a long-term look and one traders should sidestep — plus what it all means for options plays.

By StrikeEdge Team
Hyperscaler Earnings & Fed Transition: What Traders Need to Know
Market NewsApril 25, 2026

Hyperscaler Earnings & Fed Transition: What Traders Need to Know

A wave of AI hyperscaler earnings and a historic Federal Reserve leadership transition are setting the stage for significant market movement. Here's what retail options traders should be watching closely this week and how to position accordingly.

By StrikeEdge Team
Fed Rate Dilemma: Why Markets Face a Reckoning Soon
Market AnalysisApril 25, 2026

Fed Rate Dilemma: Why Markets Face a Reckoning Soon

The Federal Reserve's interest rate strategy may be headed for a major shift, and Wall Street could feel the pressure within weeks. Here's what retail options traders need to understand about the changing macro landscape and how to position accordingly.

By StrikeEdge Team
The Under-the-Radar Stock Beating Every Major Index in 2026
Market AnalysisApril 24, 2026

The Under-the-Radar Stock Beating Every Major Index in 2026

One overlooked growth stock is quietly outperforming the S&P 500, Nasdaq-100, and Dow Jones in 2026 — and it's doing it by capitalizing on market volatility. Here's what options traders need to know about this emerging opportunity.

By StrikeEdge Team
Nasdaq Futures Rise as Big Tech Earnings Calm Geopolitical Fears
Market NewsApril 24, 2026

Nasdaq Futures Rise as Big Tech Earnings Calm Geopolitical Fears

Nasdaq futures climbed Friday as strong Big Tech earnings helped offset geopolitical jitters and a mid-week selloff. After IBM and ServiceNow disappointed, investors are now looking to megacap results to sustain the rally. Here is what options traders need to know heading into the weekend.

By StrikeEdge Team
GLD Up 9% YTD While the S&P Stalls: What's Driving Gold?
Market AnalysisApril 23, 2026

GLD Up 9% YTD While the S&P Stalls: What's Driving Gold?

Gold has quietly outpaced the S&P 500 by a wide margin so far this year, raising important questions about portfolio diversification and macro risk. Here's what's fueling the rally in GLD and why options traders should be paying close attention to this move.

By StrikeEdge Team
Markets Pull Back From Highs as Iran Tensions Rattle Traders
Market NewsApril 23, 2026

Markets Pull Back From Highs as Iran Tensions Rattle Traders

Stocks retreated from record highs Thursday as fresh tensions in the Strait of Hormuz gave investors a reason to take profits. Here is what the selloff means for options traders watching volatility and deep OTM LEAPS plays.

By StrikeEdge Team
Iran Ceasefire, Fed Uncertainty & What It Means for Options
Market NewsApril 22, 2026

Iran Ceasefire, Fed Uncertainty & What It Means for Options

US equity futures climbed and oil briefly touched $100 per barrel after President Trump indefinitely extended a ceasefire with Iran. Meanwhile, Kevin Warsh's rocky confirmation hearing and a security breach at Anthropic are adding layers of uncertainty to an already complex market. Here's what retail options traders need to know.

By StrikeEdge Team
Faith-Based ETF Beats S&P 500: What Options Traders Should Know
Market NewsApril 22, 2026

Faith-Based ETF Beats S&P 500: What Options Traders Should Know

The Inspire 500 ETF (PTL) has outperformed the S&P 500 over its first two years, proving that biblically responsible investing can compete with mainstream benchmarks. For options traders, ETF outperformance stories like this one often signal overlooked opportunities in the underlying holdings. Here's what retail traders need to understand about this milestone and how to position around it.

By StrikeEdge Team
The Fed, SpaceX & VIX: New Rules of Trading Volatility
Market AnalysisApril 22, 2026

The Fed, SpaceX & VIX: New Rules of Trading Volatility

The VIX remains surprisingly subdued even as geopolitical tensions simmer and macro uncertainty lingers. Experts from RBC Capital Markets and Kelly Intelligence break down why markets are looking past short-term chaos — and what it means for options traders positioning today.

By StrikeEdge Team
Magnificent Seven Surge 20%: What It Means for LEAPS Traders
Market AnalysisApril 21, 2026

Magnificent Seven Surge 20%: What It Means for LEAPS Traders

Big Tech stocks have rebounded sharply from March lows, adding $4 trillion in market value as the Magnificent Seven climb 20%. Here's what this momentum shift means for retail options traders eyeing long-dated opportunities in large-cap tech.

By StrikeEdge Team
Treasuries Slip as Oil Rises: What Options Traders Need to Know
Market NewsApril 21, 2026

Treasuries Slip as Oil Rises: What Options Traders Need to Know

Bond markets are on edge as Middle East ceasefire tensions push oil prices higher, while a potential Fed chair confirmation adds another layer of uncertainty. Here is what retail options traders should understand about these macro crosscurrents and how to position accordingly.

By StrikeEdge Team
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