Scott Pulcini breaks down why CVD divergences are unreliable and reveals what's actually driving the market: options flow, gamma levels, and price-change algos. After 9 years of trading stop-runs and icebergs as his main edge, he's shifted focus to zero-DTE options hedging by dealers—which moves 90% of intraday action most days.


The key insight: stop/iceberg events validate where the market will react, but options flow (gamma, pace of tape, relative volume) tells you when and how. He demonstrates real trades including why his 3-minute VWAP trade worked and how price-change reversions can be scalped or held based on confluence.


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Connect with Scott - https://www.scottpulcinitrader.com/


0:00 — Headline risk destroying setups; options flow now dominates

3:00 — Stop runs & icebergs → options gamma edge shift (9 years vs new game)

8:03 — Real-time options flow example: dealers hedging move market, visible in charts

13:14 — Why CVD divergences fail: it only shows aggressor, not intention

16:48 — Six stop/iceberg setups; GEX levels are magnets dealers must hedge at

20:15 — Zero-DTE gamma "sexy gexi" entries vs reversion trades off GEX bounces

23:54 — Randy's YM trade: bought VWAP at 9:57 ET, out in 3 mins (entry anatomy)

27:35 — Euro options flow drives hero, not futures → source of moves

31:45 — Market pulse price change algo: reversion-to-mean every 5 min when quiet

35:48 — Relative volume key: use Sierra Charts (30-day lookback), not Thinkorswim (60-period only)

39:30 — Real NQ trade setup: VWAP + GEX2 + price change + pace of tape = "reversion dream"

42:50 — How to manage: scalp around position or trail half using price-change exits

46:20 — Risk half an ATR on price-change scalps; protect against big money runs

49:01 — Scott's chart tabs problem: too much data layered, needs Bookmap UI fix

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