
This intensive webinar—originally recorded in December 2012—offers a deep dive into volatility trading and the practical application of option theory. While markets and products have evolved, the core principles discussed here remain unchanged: how to measure volatility, how to recognize when it is mispriced, and how to structure trades that put the odds in your favor. The focus is not on speculation alone, but on building a disciplined framework using implied volatility, expected return, and risk management. Over the course of nearly four hours, I walk through both strategy construction and fully developed trading systems—many of which remain directly applicable in today’s markets.
© 2023 The Option Strategist | McMillan Analysis Corporation