What is OptionIncome
Trading options works best when you manage positions actively — closing early, rolling at the right time, and keeping risk under control. But once you have multiple positions across different symbols, strikes, and expirations, it quickly becomes hard to see what actually needs attention.
Most brokers don’t help much. They show positions one by one, with limited ways to sort or compare risk across your portfolio. Greeks are scattered, context is missing, and deciding which positions to act on right now often turns into guesswork — especially as markets move.
Understanding performance is just as frustrating. Broker statements break trades apart and reset history every time you roll, so strategy-level PnL disappears. Wheel cost basis isn’t reflected, and answering simple questions like “Is this strategy really working?” usually means exporting data into spreadsheets and cleaning it up manually.
OptionIncome is built to solve this. It automatically pulls your real trades, preserves strategy context across rolls and adjustments, and gives you a clear, unified view of your positions, risk, and results — all in one place.
If you sell covered calls, cash-secured puts, spreads, iron condors, or wheel strategies, OptionIncome helps you stay organized, act with confidence, and focus on better trading decisions instead of managing data.
This documentation explains how the platform works and how to get value from it quickly.