A straightforward framework for using the market’s volatility forecast to structure smarter, higher-probability trades.
Two Wins in Two Weeks, and Three Calm Trades Doing Their Job
The Most Expensive Trades Are the Ones You Force
Market uncertainty meets volatility opportunity as Fed indecision, tariff effects, and sector rotations create prime conditions for strategic options plays
Master time decay (theta) in options trading: Learn how every second erodes your option's value and discover strategies to trade smarter, not harder.
Volatility Metrics - P/C Ratio, IV Rank, IV %, RSI (2), (7), (14) and High/Low Graph
Why Poor Man’s Covered Calls Offer More Control, Flexibility, and Diversification Than YieldMax ETFs
Closing Position and Opening Up a New Iron Condor