
Hey Nitro Traders,
Market Commentary:
NVDA earnings are the most important event this week.
Heading into earnings, the normal expected move is about 6.2%. It’s currently around 11%, so they’re looking for fireworks.
However, there are other events that matter. Most notably, today the FOMC minutes get released.
There are also a ton of other earnings coming up.
Basically, the next 24 hours are potentially going to be the most explosive 24 hours for the next few months. I think it could be more important than even a FOMC meeting or CPI.
NVDA has dragged the whole market higher.
Yet take a look at the SPX straddle:
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47 dollars – less than 1% of the value of the SPX. It moved more than that on Tuesday WITHOUT a major event.
The near dated selling almost makes premium buying too easy.
Speaking of too easy … did you know I am undefeated in my Zone Trading Strategy? If not, you should check out my presentation from Thursday. The price discount is over … but if you call my sales team 888 872 3301 and tell them you read my analysis, Ted MIGHT be able to give you the original price.
Pairs I Am Watching:
GS/JPM

There are others in this industry, but these two are so alike. The out-performance is getting really interesting.
Market Update

Update on the relation between the board market indexes and MGK.
GE/HON

This is getting WAY out of hand, this is probably going to be a trade on Wednesday.
Position Updates:
GOOGL/AAPL: GOOGL is closed having paid for almost all of AAPL. We have a downside stop on AAPL calls of 2.00, this locks in a profit.
UPS/FDX: We are out of UPS and are now up money on FDX. One more day and I’ll be looking to close. We close FDX by Friday.
RSP/SPY: We adjusted the trade, and the SPY side is starting to pay. RSP is upish, SPY too. If NVDA tanks we probably get out with a profit.
Your Only Option,
Mark Sebastian
Mark Sebastian
Founder & CEO, Option Pit
Founder: Nitro Trader
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