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In this video, I’m watching the potential for a bigger market correction, but I do think the timing may still be a little early. I break down why rising 10-year yields, July expiration, and the VIX squeeze are important signals to monitor over the next couple of weeks as the market decides whether volatility is ready to expand.
Next week, I’m breaking down one of my go-to options strategies: the unbalanced butterfly. I’ll show how this setup can help traders define risk, target directional moves, and structure trades with a clear plan before entering!