Your title says FDPM. FDE. Solutions PM. Deployment Strategist.
They're not the same job.
The real test: who's accountable for making it work in production vs. who's just accountable for proving it works vs. who owns the outcome regardless of who wrote the code.
i stopped using 'caps lock'. every time i prompt or taking a note, i'm turning on 'caps lock' and off. does it sound necessary. no right. may be for social media i should consider.
Task switching isn't the problem. Not finishing is.
Paw is a tiny pet on your screen.
Stay on task, it's happy. Drift to another tab, it visibly worries. Come back, it settles down. It only grows when you actually finish something.
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9/ Where I think AI changes trading: not the institutional desk (already systemized) — the individual trader's setup.
Structuring data into defensible decisions used to need a team. Increasingly, it doesn't.
Where's your automate-vs-judgment split?
#trading#optionstrading#ai
1/ Access to market data was never the constraint. Interpretation is.
Built a premarket system turning raw options data into one structured view before the bell — not a gut call, a process.
Pipeline: Market View → Strike → Spread Buy/Sell → Expected Move (Index → Option)
7/ Every day's view logs automatically into a running history.
This isn't a framework I get to retroactively describe as working — it has a track record I can be wrong in front of.
4/ Spread: Buy or Sell
Same view, different trade, depending on IV pricing:
IV − VIX > 2 → Premium Expensive → Spread IV − VIX ≤ 2 → Fairly Priced → Standalone eligible
3/ Strike Selection
India VIX decides how far ITM to sit.
VIX < 14 → ATM VIX 14–18 → ITM1 VIX 18–22+ → ITM2
Not a feel-based pick — read straight off the vol regime.
2/ Market View
Gap, PCR, OI shifts at S/R, breadth, and price action get weighted into one Bias: Bullish/Bearish/Neutral. No single metric has veto power.
Cross-checked too: GIFT NIFTY's implied move vs actual open. Flagged the second they disagree.