Today’s video is a little… different.
In just under 12 minutes, I’m covering MicroStrategy, Bitcoin, volatility, the VIX, SPACs, and warrants…
And then I’m going to tie it all together with my “grand unifying theory.”
Highlights include:
- How volatility and liquidity influence options pricing and market behavior (and what you can do about it)…
- Why shorting MicroStrategy and hedging with long Bitcoin isn’t as straightforward as it seems…
- Why liquidity shortages can derail seemingly perfect convergence trades
- The real impact of SPACs like IonQ and the role of warrants in market movements…
- Why shifting your focus from traditional technical analysis to a liquidity-based approach can be a more effective trade strategy…
- And more.
Give it a watch…
And if you’d like to learn more about our liquidity-based market approach that has led us to gains of 158%, 433%, and 503%, click here to watch a free training video.
Original Post Can be Found Here