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Trading Volatility Using the 50-30-20 Strategy
If you wanted to learn more about Trading Volatility - tickers like UVXY, TVIX, VXX, SVXY & XIV - then this book is for you. The book discusses how the VIX related ETFs/ETNs are priced and introduces you to an innovative & logical 50-30-20 strategy where you keep 50% of your portfolio as cash, use 30% of your portfolio for swing trades and 20% of portfolio for carrying UVXY & TVIX shorts long-term. The book discusses why going long volatility is generally unwise. The book explains "risk management" as well as change in strategy in a bear market.
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