Charting

Calendar Spreads initiated in a high IV environment run the risk of going down in value if IV starts going down. Therefore, the options Implied Volatility (IV) for a stock is like a rubberband. It has the potential to stretch (go high) and compress (go very low) but ends up somewhere near the normal state most of the time during a year. Calendar Spreads initiated in a low IV period will benefit from any rise in IV (even if the price of the underlying is not more than 3-4% away from the the strike price you choose. Timing:

Best time to initiate a Calendar spread is between 30-40 days before expiration of the financial services people need and are charting willing to pay for.

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