Terminal Volatility Swap

COURSE DESCRIPTION
Terminal Volatility trading is about identifying and exploiting the bigger opportunities that lie hidden in mismatched option premiums. The idea is to remain direction neutral while trading the market. Premium shifts in options are triggered every time India Vix spikes up or plunges down. Since the change in India Vix is a regular phenomenon, combinations between the options IV and India Vix are most critical to Terminal Volatility trading.
BENEFITS
In this program participants will learn to spot the area of “Absolute Return” caused due to the shift in market volatility. The framework for the decision-making processes in this program is completely driven by the Terminal Volatility matrices. Whether there is a defined trend in the market or not, Volatility will always play a pivotal role in the accumulation of the option premium, and that is exactly what we shall exploit.
Course Features
- Lectures 0
- Quizzes 0
- Duration 20 hours
- Skill level All level
- Language English / Hindi
- Students 37
- Assessments Yes