Learn Before You Trade
Short reads on the concepts, discipline, and mindset behind expiry-day options trading — no hype, just what actually matters.
What Is Delta-Neutral Trading, Really?
Most people hear "delta-neutral" and think it means "no opinion." It doesn't. It means structured exposure to your opinion, with risk defined upfront instead of left to chance.
Read more →Why "Just One More Trade" Is the Most Expensive Sentence in Trading
The instinct to override your own rule on a big move is exactly when the rule matters most. A look at why cutoff times exist — and why they only work if they're non-negotiable.
Read more →0DTE vs 1DTE vs 2DTE — Why One Strategy Doesn't Fit All Three
Time decay behaves differently depending on how many days remain to expiry. Treating all expiries the same is one of the most common — and costly — mistakes retail traders make.
Read more →Position Sizing: The Skill Nobody Talks About
A perfect entry with the wrong size still blows up an account. Why sizing — not strategy — is usually the actual difference between traders who survive and traders who don't.
Read more →PCR and OI: What They Tell You, and What They Don't
Put-Call Ratio and Open Interest are useful confirmation tools — not crystal balls. A grounded look at how to read sentiment data without over-trusting it.
Read more →Why Traders Who Journal Outperform Traders Who Don't
You can't fix a pattern you can't see. A simple case for why tracking every trade — wins and losses alike — is the fastest way to actually improve.
Read more →Trading Around a Day Job: Structure Over Willpower
You don't need to watch every tick to trade well. A look at why fixed windows, fixed rules, and a repeatable routine beat constant screen-watching.
Read more →Simulating Before You Risk Real Capital
Why practicing setups on a simulator first (before live capital is on the line) shortens the learning curve and removes the emotional noise of real losses while you're still learning.
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