You can track the performance of the S&P 500 through the SPDR S&P 500 ETF TrustSPY. The S&P 500SPXis weighted by market capitalization, which means AppleAAPL, MicrosoftMSFTand NvidiaNVDAcollectively make up roughly 20% of this portf...
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The VIX is based on the prices of call and put options on the S&P 500 Index (SPX). It is used globally by a number of market participants as the premier measure of stock market volatility. Advertisement. The VIX is known as an investor’s “fear gauge.” It moves up when market pric...
The Fed has historically raised rates until a recession and stock market panic occurs. Read more to know why interest rates could stay higher for longer.
Sincetrading optionsis a risky investing strategy by nature, rolling up an options contract is beneficial by helping you manage the overall risk involved with options contracts. Sources Related Articles Call Options vs. Put Options: What’s the Difference?
The “basis” in futures trading refers to the difference between the price of the spot price and the price of a futures contract on said asset. For example, suppose the spot VIX index is at 18, while the front-month VIX futures contract is at 22. The basis here is 4, or the differ...
As an option’s expiration date draws nearer, the value of the option tends to decrease. Out-of-the-money options are more affected by time decay than in-the-money options. Time decay has a small impact on options’ prices when the expiration date is a long time from now, and it acce...
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But note: There’s a difference between “premium neutral” and “free.” With options, there’s always a trade-off. In the case of a collar, the trade-off is the opportunity cost of that short call. If BNNA were to stage a monster rally upon that news release, your profits would ...