Volatility May See Range Breaks across Markets but Trends Might be Short-Lived

Going into the second quarter, the macro environment for financial markets is characterized by stubbornly high inflation and an evolving banking crisis. Will volatility continue to evolve?

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🔴WATCH LIVE: FED JEROME POWELL TESTIMONY 10AM! FED CHAIR HOUSE INTERVIEW

Watch the full Jerome Powell House testimony at 10am. Be sure to like & subscribe for more free trading content! Remember, we are not market professionals and are not liable…

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Assessing Directional Risk with Delta: Part 9 of the Option Greeks Series | OptionsPlay

Join us as we explore the critical role of Delta in assessing directional risk in Options Trading. This video is part 9 of our comprehensive Option Greeks series, and it…

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Profitable Options Selling vs. the VIX Index (Is There a Relationship?)

Is there any relationship between selling options profitably and the level of the VIX Index? Has selling straddles at higher VIX Index levels historically been more profitable than selling straddles…

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What is XIV & How Does it Work? | Volatility Trading

XIV is one of the most popular products related to trading market volatility. XIV attempts to track the inverse of the changes in the VIX Index through near-term VIX futures….

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What Else Can Delta Tell Us? | Part 12 of Option Greeks Series | OptionsPlay Shorts

How do we know a call option will expire in the money? DELTA is one of many factors that can be used to calculate this. Be sure to watch Part…

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Iron Condors vs. Strangles: P/L Analysis [STUDY]

➥ Hypergrowth Options Strategy Course: https://geni.us/options-course Selling iron condors and selling strangles are two very common options trading strategies, as they are both directionally-neutral trades. However, short iron condors have…

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Dollar Rallies While VIX Drops After CPI, What Dictates the Market’s Next Move?

This week’s most highly-anticipated event risk has passed, and in its wake we are left with higher rate Fed expectations, an uncertain Dollar outlook and a drop in expected volatility….

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