Confirm and Send
Update: 2025-08-28
Description
In this episode, Tom and Tony discuss market dynamics, particularly the volatility in S&P and NASDAQ indexes, while emphasizing the current low volatility environment. They address questions on trading strategies, including buying power allocation and futures trading. The conversation also touches on the liquidity of VIX futures versus S&P options. They recommend caution in capital deployment and suggest that traders remain prepared for potential market movements.
Comments
In Channel