Page de couverture de The Two Sides of Volatility | Inside the January Options Expiration

The Two Sides of Volatility | Inside the January Options Expiration

The Two Sides of Volatility | Inside the January Options Expiration

Écouter gratuitement

Voir les détails du balado

À propos de cet audio

Join Brent Kochuba and Jack Forehand as they analyze the current market landscape and what options flows tell us about potential volatility ahead. The duo dives deep into why the market may be underpricing volatility risk despite a recent 5% drawdown, significant upcoming events, and shifting rate dynamics. Key topics covered: Why the current options market positioning suggests heightened volatility risk Analysis of January options expiration and its potential market impact Deep dive into Tesla vs NVIDIA options positioning and what it means for both stocks The evolution of zero DTE options trading and its real market impact How dealer gamma positioning could amplify market moves Breaking down the correlation between different asset classes in the current environment Whether you're an options trader, long-term investor, or market enthusiast, this episode provides valuable insights into the mechanics driving today's markets and what might lie ahead. Don't miss this detailed discussion of market structure, options flows, and potential catalysts that could drive significant moves in early 2025.

Ce que les auditeurs disent de The Two Sides of Volatility | Inside the January Options Expiration

Moyenne des évaluations de clients

Évaluations – Cliquez sur les onglets pour changer la source des évaluations.