Garrett here,

We spent some time this afternoon walking through a few of the most practical tools for newer options traders — including how to think about calls, call spreads, and probability of profit in real terms.

I wanted to make sure you had a chance to see this — especially if you're still early in your options journey or just looking to tighten up how you think about risk, leverage, and structure.

If you’re just getting started — this session is worth your time.

We walked through:

  • The difference between a call and a call spread

  • Why probability of profit is useful

  • When calls work best… and when they quietly bleed

  • How to shift from “hope” trades to well-structured setups

The full write-up is now live, including all five slides and added notes to help you follow along.

If you’re not in the member room yet, here’s the replay from the session this afternoon so you can see the kind of educational and real-world trading content that happens every day after the Market Masters show ends.

This is the kind of thing we dig into live in the room every day — focused, useful, and built for traders at all levels.

If you've been considering joining, you can try it now for just $7 for the first month — and get full access to everything we do in the member room, including:

  • Three weekly trade ideas — clear, structured, and built for risk control

  • Live daily coverage starting at 9:30am ET — real-time setups and market walkthroughs

  • Options University (101, 201, 301) — a full suite of on-demand training

  • Guided onboarding — get up to speed fast with help from our team

  • And everything else we publish throughout the trading day

Hope this helps clarify how options work — and what a difference structure makes.

See you in the room.

Stay positive,

Garrett Baldwin

Keep Reading

No posts found