The Signals That Move Your Portfolio
Every strategy on TheTape.Report is built to surface a specific kind of edge. Active trading opportunities. Long-term portfolio signals. Structured frameworks that tell you what's happening — and what to do about it.
Active Trading Signals
Short-term opportunities surfaced daily. Each screener views the market through a different lens to find what's mispriced right now.
Blue Chip Dip
Quality names at discount prices. Identify expensive put premiums on blue-chip stocks where volatility has spiked — opportunities to sell premium or enter on pullbacks.
Expensive Puts Screener
Blue Chip Write
Income on quality holdings. Find overpriced calls on large-cap names where implied volatility exceeds fair value — covered call and overwrite setups with a blue-chip focus.
Expensive Calls Screener
Conservative Condors
Tighter structures, higher win rate. Iron condors ranked for probability and capital efficiency — premium collection when you want range-bound, lower-stress income.
Premium Condors Screener
Aggressive Condors
Wider wings, more premium per dollar at risk. Condor setups ranked for higher yield when you're willing to accept more path risk for a larger credit.
Premium Condors Screener
Short Term Premium
Near-dated mispricing and rapid theta decay. Focus on shorter tenors and faster turnover — capture premium when the edge is in the front of the curve.
Edge Screeners (short-tenor focus)
Analyst Package — Unlock the Full Active Suite
Go beyond individual reports. The Analyst tier includes everything above, plus advanced volatility tools: Dispersion analysis, Volatility Smile, Vol Forecast, Indicator Charts, and the Opportunity Screener. The complete active trading toolkit.
View Analyst MembershipInside the Edge Screeners
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Investor Signals
Long-term portfolio strategies and risk signals. These tell you what's happening in the market so you can position, protect, and optimize — not react.
SkewPreme
Capture the skew premium embedded in options markets. An actively managed strategy that systematically harvests the difference between implied and realized volatility skew.
Strategy Laboratory
HedgeRoll
Compare hedged equity structures for protection and performance. Evaluate collar, put-spread, and rolling hedge strategies to find the right balance between cost and downside protection.
Strategy Laboratory
DistroYield
Leverage existing stock positions or create new ones to optimize monthly distributions through variable covered call writing.
Strategy Laboratory
RiskBeacon
Risk regime indicator that signals when market conditions shift. Know when to increase protection, reduce exposure, or lean into opportunity — before the move happens.
Strategy Laboratory
LeadLag
Identify which market sectors and indicators are leading or lagging the broader market. Time your hedging and positioning decisions with signals derived from cross-asset relationships.
Strategy Laboratory
Investor Tier — The Full Strategy Laboratory
Everything in the Analyst tier, plus full access to the Strategy Laboratory. Backtest strategies over real historical data, tune parameters, and build a portfolio of complementary strategies including SkewPreme, HedgeRoll, DistroYield, and more.
View Investor MembershipInside the Strategy Laboratory
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Start Anywhere. Go Deeper When You're Ready.
Member
Pick individual screener reports
Analyst
All Edge Screeners unlocked
Investor
Full Strategy Laboratory
+ Client
Signals become advice