Time decay also accelerates as the options are approaching the last 30 to 60 days. Find a broker to begin trading XIV now. On the other hand, options can be used to considerably reduce risk. One thing we have been watching is the slow decline of volatility this last couple of days. So when you buy a LEAP, plan on holding it for a long time, probably. The premium is the price. More fun in the Emerging Markets.




The term structure for the VIX futures is back into a normal contango and the volatility productslost their daily gain status. I seem to remember this time last Wednesday when the SPX was trading just below Chinese markets were closed for a holiday week and the weak jobs number on Friday created the whipsaw we had for the last week and a point rally in the SPX. Like we saw twice already since the late August debacle, the rallies were as vicious as the selloffs.

The skew is pretty steep keeping VIX higher but for the most part ATM volatility is low. However, there is one time where the expected pay out of selling VIX futures or options is not that great, when the VIX curve starts to do this:. The 2 min ceasefire in the Gaza strip did not help. The sideways motion in the Ukraine did not help.

The ok jobs report did get stocks back to even at one point but there is still some sadness in the air. That sadness has helped propel volatility to 3 month highs in many areas. The VXEEM is making a near term high this week even what is a put option and a call option xiv there has not been a whole lot of movement in the EEM with the 20 day realized volatility just hitting the high 13s.

One thing about market players is that they start to know the game. Good employment news is out, and the market took off this morning. At this point, traders who need to sell stock just wait as the news driven algo guys bid up the market in an attempt to chase the news. One thing we have been watching is the slow decline of volatility this last couple of days. There is a reason why they are good.

No doubt the lack of market liquidity had something to do with it. It does defy my imagination that the ratings agencies were nowhere in and are now popping up everywhere inwhen the banks have cash they cannot lend and balance sheets marked at the bottom of the housing cycle. And they get payed for that.

VIX closes below the day MA and the sky did not fall. Look for our volatility webinar this Nov what is a put option and a call option xiv. Oct VIX asks if China will open already and Look for our webinar on fixing broken positions real soon. If January was the month or realized volatility March is turning out to be the dud central for realized volatility.

VIX Pointing Toward More Selling. Generally speaking, when the VIX is high, its a sale and when its low, its also a sale. More fun in the Emerging Markets. XIV and VXX finally cross so is the VXX reverse split far behind? I love the low volume rallies. Our COO Explains the Difference Between VIX and VXX. A nice selloff on the way to the rally….

It must be nice to be Goldman. BAC Volatility Ripe for the Picking. If traders think that the MF Global debacle is going to be a mess, Bank of America could be much worse. LEARN THE SKILLS THEY NEED TO SUCCEED IN TODAY'S COMPLEX FINANCIAL MARKETS. Option Pit Links Contact Us About Us. Site Information Site Map. Legal Stuff Terms of Service Privacy Policy Disclaimer.




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Equity Option Volume; Volume & Put/Call Ratios ; BuyWrite Index Roll; Individual Index and ETF Volume Reports; Historical Options Data. CBOE Volume & Put/Call Ratios. Tip 1 - All About Stock Options. From this point on, if I use the term " option " without qualifying whether it is a put or a call option, I am. View the basic SPY option chain and compare options of SPDR S&P on Yahoo Finance. SPY Option Chain | SPDR S View the basic SPY option chain and.