Confirm and Send: Navigating E-Mini S&P Volatility Like a Pro
Update: 2025-08-19
Description
Tom and Tony discuss current market conditions, focusing on the E-mini S&P and volatility. They analyze bond market dynamics and inflation's potential impact on stocks. A trader inquires about managing trades 21 days before expiration, prompting discussion on rolling positions and taking profits. They address strategies for limiting downside risk in an IRA, emphasizing size management. Additionally, they clarify the differences between VIX and forward slash VX, explaining market behaviors around weekend decay in options.
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