It's all about the opportunities when trading options. When selling options taking advantage of what the market gives you is a necessity. It may sound obvious, but for most options traders it's not.
Let me explain.
The investor fear gauge, otherwise known as the VIX (Volatility S&P 500), has moved significantly lower since the latest rally took root back on December 19th.
In fact, the fear index has lost 40%.
But, a bounce looks imminent.
So, how can we take advantage of the low-volatility environment with the expectation of a reversion to the mean? What options strategy would best fit this type of scenario?
Check out the following video for the best way to take advantage of volatility with one simple trade.