Jamie discusses the move down in the VIX and VIX futures.
Jamie discusses the dynamic in the VIX cash futures and the break in the term structure of the futures creating a healthy market phenomena.
Jamie dicusses the yo yo day in the market and the VIX and possible reasons why. Also the extreme call buying in the VIX.
Jamie discusses the pop on the VIX after the treasury auctions completed this afternoon.
Jamie Tyrell draws attention to the amount of puts STILL being bought on Wednesday, October 21 when VIX was sitting at multi-month lows and prior to the spike Wednesday afternoon (when S&P dropped).
Jamie discusess the last day to trade the Oct. VIX options and what happens with the Nov. contracts tomorrow.
Jamie explains the market’s hot streak and the continue fall off the VIX before Wednesday’s expiration.
Jamie Tyrell reminds us it is NOT an expiration for the VIX while it is expiration for the rest of the market. The VIX is in a long cycle. Jamie mentions the 22.5 puts and 25 calls in play.
Volatility Sonar Report from CBOE
Everyday Midday sponsored by Trademonster
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Jamie Tyrell of Group1 Trading talks about low VIX because we didn’t get the volatility out of the Goldman Sachs & Citigroup earnings that folks expected. Big news in VIX is new strikes 24 and 26’s in Nov and December.
Volatility Sonar Report from CBOE
Everyday Midday sponsored by Trademonster
show sponsored by
Jamie Tyrell mentions Volatility starting to live in the low 20’s.
Fari Hamzei of http://www.hamzeianalytics.com returns to youtube with analysis and education. Featuring 3 important market internals for market timing, Fari puts this unique options expiration week’s strong market upmove in perspective and what he predicts the market will do going forward. With standard deviation ranges as guides, Fari explains how to use the modified cumulative [...]
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