The Volatility Nomad returns!

On this episode of Volatility Views, Mark Longo and Dr. Russell Rhoads welcome back Michael Listman, aka UVXY Trader, who joins the show from the UK after months of trading his way across Europe.

The crew breaks down another wild week for the volatility markets, including the brief VIX spike above 20, the post-Fed volatility collapse, a surprisingly subdued VIX futures curve, and whether the market is becoming a little too comfortable heading into the fall.

Michael also takes us inside life as a traveling volatility trader and explains how being a "volatility nomad" has changed his approach to risk and position management. We dig into his current strategies involving UVXY, SVIX and VXX, seasonality in volatility ETPs, longer-dated positions, pair trades, short straddles and more.

Plus, we examine the latest unusual VIX options activity, including some truly extreme upside strikes, revisit Russell's Microsoft earnings trade, and peer into the Crystal Ball for where VIX could be headed next.

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