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May 2, 2025 60 mins
This episode delves into the recent volatility trends and provides an in-depth analysis of the current earnings season. The hosts Mark Longo, Andrew Giovinazzi (The Option Pit) and Russell Rhoads (Kelley School of Business, Indiana University) discuss the significant moves in VIX and related options, the impact of trade talks and jobs numbers, and the performance of various vol ETPs. Special guest Matt Amberson from ORATS joins to provide insights into earnings volatility and market expectations. Key discussions include the downturn in option-buying benefits during this earnings season and what to expect next in the volatility landscape.
 
01:05 Welcome to Volatility Views
03:21 Meet the Guests: Russell Rhodes and Andrew Azi
06:06 Volatility Review: Market Trends and Analysis
15:56 Earnings Volatility Report
24:41 VIX Futures and Market Indicators
32:30 Opening Banter and Market Commentary
32:41 Analyzing Recent Trades and Market Movements
33:24 Discussion on Rolling Trades and Market Sentiment
34:59 Unusual Trading Activity and Market Reactions
35:59 Volatility Products and Trading Strategies
38:33 VIX Options and Market Trends
44:01 Inverse Volatility Products and Market Outlook
52:23 Concluding Thoughts and Predictions
 
Mark as Played

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