No Recession Model Post this Month (10-01-2020)

I have been working on a new volatility project for the past year and I am in the final stages of building, testing, and releasing a comprehensive AI Volatility Modeling platform. This new tool uses the latest in machine learning algorithms to identify and quantify real-time volatility pricing anomalies that can be exploited with strategies based on SPX, NDX, and RUT index options, VIX futures, and VIX options. The platform provides real-time forecasts and relative value analysis across the entire term structure of volatilities.

I hope to release the new AI Volatility model very soon. Please see TraderEdge.Net for updates.

I plan to resume publishing the monthly recession model in November.

Brian Johnson

Copyright 2020 Trading Insights, LLC. All rights reserved.

Option Strategy Risk Management: An In-Depth Article Introducing an Interactive Analytical Framework for Hedging Option Strategy Risk

Option Income Strategy Trade Filters: An In-Depth Article Demonstrating the Use of Trade Filters to Enhance Returns and Reduce Risk

Exploiting Earnings Volatility: An Innovative New Approach to Evaluating, Optimizing, and Trading Option Strategies to Profit from Earnings Announcements.

Option Strategy Risk / Return Ratios: A Revolutionary New Approach to Optimizing, Adjusting, and Trading Any Option Income Strategy

Share

About Brian Johnson

I have been an investment professional for over 30 years. I worked as a fixed income portfolio manager, personally managing over $13 billion in assets for institutional clients. I was also the President of a financial consulting and software development firm, developing artificial intelligence based forecasting and risk management systems for institutional investment managers. I am now a full-time proprietary trader in options, futures, stocks, and ETFs using both algorithmic and discretionary trading strategies. In addition to my professional investment experience, I designed and taught courses in financial derivatives for both MBA and undergraduate business programs on a part-time basis for a number of years. I have also written four books on options and derivative strategies.
This entry was posted in Economic Indicators, Fundamental Analysis, Implied Volatility, Market Commentary, Market Timing, Option Volatility, Options, Recession Forecasting Model, Risk Management, Strategy Development, Volatility Forecast and tagged , , , , , , , , , , . Bookmark the permalink.

Leave a Reply

Your email address will not be published. Required fields are marked *