This "Where Do I Start?" episode kicks off with a breakdown in stocks that Howard is bullish, bearish and neutral on. But before that, they have to manage a few positions that have moved, including adjusting Microsoft.
With the market being up this morning, Tom and Howard continue to take the approach of mixing up strategies.
As they walk through Howard's list of products, Tom explains how the stock's price, option premium, earnings and expiration cycle play a role in determining strategy. Given that the market as a whole has low volatility, Tom and Howard cover multiple debit spreads including Long Verticals and Calendar Spreads. Still, there are some opportunities for Covered Puts, Short Stock and Short Naked Calls.
Tune in to see what strategies Tom and Howard use for each position and how they look at Howard's portfolio overall based on directional risk.