TradeDesk gives you a systematic framework for directional options trading — calibrated to your bankroll and risk profile, not someone else's.
Your command center for systematic options trading. Monitor positions, track your watchlist, and enforce your framework — all in one place.
TradeDesk gives you a real-time view of your open positions, a watchlist with IV and Greek monitoring, entry condition checklists, and a full trade log — built around your framework, not someone else's rules.
Enter your bankroll and risk profile once. Every parameter — position sizing, stop levels, and entry filters — calibrates automatically to your situation.
Maintain optimal directional exposure without overleveraging. Too low and the option won't move. Too high and you're paying for intrinsic value, not leverage.
0.40 – 0.65 ΔElevated implied volatility means overpaying for premium. The hard filter below 50% ensures you're not starting every trade with a built-in headwind from IV compression.
IV < 50%Long enough for your thesis to materialize. Short enough to maintain urgency. 21–45 days balances time decay risk with sufficient runway for the trade to work.
21 – 45 DTESized as a percentage of your bankroll — not a fixed dollar amount. Conviction level determines allocation. High conviction gets more exposure, speculative ideas get less.
% of BankrollA hard -50% stop on every trade, no exceptions. The rule exists to protect your bankroll from catastrophic drawdowns and remove emotion from every exit decision entirely.
-50% Hard StopExit two days before earnings. IV spikes into earnings then collapses after — known as IV crush. Holding through earnings turns a directional trade into a volatility gamble.
Exit 2d BeforeEnter your bankroll and risk profile. The framework calibrates every parameter — sizing, stops, and position limits — to your situation.
Add tickers with a thesis. TradeDesk monitors IV, delta, theta, and price action until all entry conditions are met simultaneously.
All six entry criteria must be green before entering. No partial passes. The framework is binary — either the setup is there or it isn't.
Stop loss triggers at -50%. Exit before earnings. Take profit at targets. The rules remove emotion from every exit decision.
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