In this episode of Volatility Views, Mark Longo and Russell Rhoads delve into the recent shifts in the volatility landscape. With geopolitical tensions in the Middle East, the VIX spiking to new levels, and market reactions to recent economic events, this episode is a crucial listen for anyone in the volatility trading scene. The discussion also touches on notable trades in VIX options, the peculiarities of the VIX term structure, and the impact of these events on various volatility ETFs. Russell shares his insights on current market activities and to provide an in-depth analysis of recent significant trades. This episode also revisits the heated and recently held VIX Death Match, offering an engaging mix of expert analysis and lively debate.
01:05 Welcome to Volatility Views
02:23 Volatility Death Match Recap
07:50 Volatility Review: Market Analysis
22:17 VIX Options and Futures Rundown
29:19 Analyzing Weekly Futures and Roll Trades
30:23 Deep Dive into VIX Options Strategies
32:42 Evaluating Trade Decisions and Market Impact
35:19 Personal Trading Strategies and Market Observations
37:32 Big VIX Options and Market Activity
43:44 Inverse Volatility Products and Trading Insights
49:41 Crystal Ball Predictions and Market Speculations