Research Specials LIVE

Strategy Performance in Bull and Bear Markets

Research Specials LIVE

Options involve risk and are not suitable for all investors. Please read Characteristics and Risks of Standardized Options before deciding to invest in options.

Managing Winner works better in normal swing markets, but it doesn't react well to big market corrections like 2008. Managing Earlier at 21 days on the other side controls the large losers and volatility much better by reducing gamma risk.

Today, we are going to show why volatility control is so important especially in bad times. We compare the performances of these two strategies in bull and bear markets. The result is interesting.

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