0.00Open0.00Pre Close0 Volume0 Open Interest68.00Strike Price0.00Turnover153.31%IV10.71%PremiumJul 26, 2024Expiry Date0.00Intrinsic Value100Multiplier4DDays to Expiry0.00Extrinsic Value100Contract SizeAmericanOptions Type0.3008Delta0.0339Gamma34.12Leverage Ratio-0.4304Theta0.0020Rho10.26Eff Leverage0.0233Vega
ProShares Short VIX Short-Term Futures ETF Stock Discussion
PCT = Pandas Coffee Talk.
Rojak = is a Singapore malay dish that have mix cuts of raw organic vegetables & processed foods. Mix with otak prawn nuts sauces.
What is Rojak Portfolio? Rojak Portfolio is a FOMO Fear Of Missing Out Portfolio. Can be called a Girl Portfolio = once a dress flies into a girl eye. If it is within budget & can fit into the wardrobe cupboard. It is considered bought!!!
Rules of Rojak Portfolio: because you just need to beat Fed ...
Last Friday saw some major bullishness in the major indices. This came after some very worrying premarket price action. A huge gap down in premarket trading immediately followed the release of US employment and wage data. The S&P 500 initially fell over 1%. Things were looking very bearish.
Where Did the Bullishness Come From?
During intraday trading, the S&P finished over 1% in the green, completely reversing the ver...
Tech has been killing it in the market this year, thanks to the artificial intelligence boom. The tech sector has lifted the entire market while other sectors have greatly underperformed.
Occasionally, an overheated sector will begin to cool off as investors rotate their capital into underperforming sectors in expectation of a broadening rally or a change in the economy.
Even the NASDAQ announced a special rebalancing later this month, ...
VIX had a major gap up overnight with a big spike in volume. SPY opened up today with a big gap down in price as investors shorted the market.
Is it a good time to short the market after this huge rally? Or will the shorts that pushed the VIX up overnight get squeezed again like they did last April.
Don't fomo or pan...
The narrative in world markets changes regularly. These narratives control market sentiment and essentially direction of price action within the markets.
Market narratives range from a global pandemic, war, skyrocketing inflation or interest rates, slowing economic data, recession fears, or even improving economic data. Instances like these occur on a regular basis, and they can change the direction in markets. Ge...
Vix will increase in value when investors turn bearish for any reason. Whether it be rate hike fears, a small banking collapse, war, runaway inflation, or just weakening economic data. Conversely, the VIX's value will fall when traders are getting more bullish on the market.
In either of these instances, the price of the S&P 500 and the VIX will travel in opposite directions. This is the inverse correlation between the two indic...
Competition
Go Long: $ $Advanced Micro Devices(AMD.US)$
Go Short: $ $Intel(INTC.US)$
These two are in the semiconductor space. This sector is in full rally mode, so going short on either of t...
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