Quote from jones247:
Perhaps my perspective is too simplistic; however, I rely on the volatility crush after earnings and/or after capitulation.
the real issue is how much margin must you put up to make real money once a month before the options you sold expire...please explain this...the real issue.Quote from jones247:
I am completely convinced that the best way to minimize "gambling" in the market is with the use of spreads. I've narrowed down my list of high probability, low risk spreads to the following 5 spreads:
(1) Reverse calendar spreads
(2) Short condor
(3) Reverse Iron Condor
(4) Short Butterfly
(5) Reverse Iron Butterfly
Which ones do you propose have the best risk:reward & success probability profile? Of course, they are all IV plays.
thanks,
Walt
Quote from rallymode:
Vol crush is not an edge. The street knows vols will come in after the event. That hardly increase your odds.
Maybe ask IV trader nicely to elaborate on his low risk high prob comment as there is no such thing at face value.
Quote from increasenow:
the real issue is how much margin must you put up to make real money once a month before the options you sold expire...please explain this...the real issue.
Quote from jones247:
I am completely convinced that the best way to minimize "gambling" in the market is with the use of spreads. I've narrowed down my list of high probability, low risk spreads to the following 5 spreads:
(1) Reverse calendar spreads
(2) Short condor
(3) Reverse Iron Condor
(4) Short Butterfly
(5) Reverse Iron Butterfly
Which ones do you propose have the best risk:reward & success probability profile? Of course, they are all IV plays.
thanks,
Walt
Quote from Engine99:
just sell a put spread. you'll end up with theta and vega working for you (rather than in a reverse cal spread, where time decay works against you). If the volatility crush happens, vega will get you a profit, if nothing happens at least you're benefitting from time decay. You also just have two legs and you'll have minimal margin requirements if you have portfolio margin and a decent broker like IB or TOS.