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Welcome to the Wealth Building With Options Podcast with Dan Passarelli. This podcast is dedicated to making you a calm, consistent and confident options trader. Inside each episode, Passarelli, an options industry veteran, helps you avoid the common mistakes, pitfalls and misconceptions about options trading as a consistent wealth building activity. You will discover actionable strategies to build wealth using assets you may already own. With a primary focus on the traditional “Wheel Strategy,” Passarelli taps his 30+ years as a market maker on the Cboe floor and options educator for investment firms, traders and international governments to make the process simple, straightforward and effective. As a subscriber to the Wealth Building With Options Podcast you will gain the valuable insights only an experienced trader and educator can provide. You’ll discover the keys to making covered calls and cash-secured puts work for you as a consistent wealth building activity. Whether you are investing in an IRA, a fully funded trading account or are a hobby trader. This is the key to consistent income through options trading.
Episodes
Tuesday Apr 15, 2025
Ep10 - Jumping into the Deep End of Covered Calls with Russell Rhoads
Tuesday Apr 15, 2025
Tuesday Apr 15, 2025
Episode Summary:
In this special episode, Dan Passarelli is joined by longtime friend and options expert Russell Rhoads—Associate Clinical Professor at Indiana University, former CBOE educator, and seasoned trader. They dive deep into real-world options education, covering everything from teaching college students about derivatives to building structured outcomes with options.
Topics Covered:
- Why concepts matter more than complex math when teaching options
- Covered calls and cash-secured puts as strategic investing tools
- How to use implied volatility (IV) and the at-the-money straddle for strike selection
- Surprising insights from Russell’s backtest on covered call strategies during earnings weeks
- The evolving perception of options in retail vs. institutional circles
- Understanding the VIX term structure and what today’s flat curve might be signaling
- How to “become the issuer” of your own structured product using options
- Why selling options—especially in calm markets—can give you the edge
- Tips for navigating earnings season with confidence
Key Takeaways:
- A consistent covered call strategy can outperform buy-and-hold—especially if you exit during earnings weeks
- The at-the-money straddle is a powerful, underused tool for estimating expected moves and timing trades
- Retail traders can learn to structure their own risk and reward profiles, just like institutional structured products
- The VIX futures term structure reveals market uncertainty—and today's unusual flat curve might be a red flag
Guest Bio:
Russell Rhoads is an experienced options educator, researcher, and practitioner. He teaches at Indiana University’s Kelley School of Business and consults with financial exchanges. Previously, he was the Director of Education at the CBOE’s Options Institute.
Resources Mentioned:
- Learn more about Dan: MarketTaker.com
- For options disclosures: Characteristics and Risks of Standardized Options (PDF)www.theocc.com/getmedia/a151a9ae-d784-4a15-bdeb-23a029f50b70/riskstoc.pdf
Subscribe & Review:
Don’t miss the next episode, “Cash-Secured Puts: The Brother from Another Mother” – Subscribe now and leave a review to help grow the Wealth Building With Options community!
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