High-Precision Option Setups for Traders Who Don't Believe in "Hold and Hope"
In a market where algorithms dominate the slow lanes, there's one arena where humans still have the edge: event volatility. Earnings. CPI drops. Fed meetings. Guidance bombs. These are the moments when implied volatility explodes-and then implodes-offering short, brutal windows for outsized profit.
This is not a theory book.
It's a precision toolset for traders who operate when it matters most-the moments that move markets.
Pre-Earnings IV Setup Structures: Straddles, strangles, calendars, iron condors-when and why they work.
How to Quantify the "Expected Move" before earnings-and when it's overpriced.
CPI & Jobs Report Playbook: Weekly volatility compression and breakout models.
Fed Day Framework: Positioning into and out of rate decisions using gamma-driven setups.
IV Crush Mastery: Spotting peak premium mispricing-and how to sell into the hype.
Avoiding the Trap: Why 90% of earnings traders lose-and how to flip the odds.
Whether you're trading SPY, TSLA, NVDA, or the latest meme darling, this book shows you how to use volatility as a weapon. Not by guessing direction-but by understanding when markets overpay for protection.
Retail and pro options traders who want repeatable edge
Swing traders looking to transition into event-based setups
Algo traders building volatility models tied to catalysts
Anyone tired of "holding and hoping" through earnings
The edge isn't in predicting-it's in preparing before the market wakes up.
Buy Event Volatility Trading now and start extracting profit from the moments that matter most.