Author Topic: What is Low VIX - Option Strategies ?  (Read 5 times)

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What is Low VIX - Option Strategies ?
« on: Today at 01:02:14 PM »
A "low VIX" environment for option sellers is typically considered to be when the CBOE Volatility Index (VIX) is: Below 15
It's often associated with bullish or stable market conditions.

< 12   Very Low Volatility   Premiums are very low; poor reward for risk. Caution.
12–15   Low Volatility   Still low; limited premium, but slightly better than <12.

Now tell me what Option strategies are suited for the same ?