Trading Volatility: The Ultimate Course
The complete guide to trading volatility products, VIX, and volatility options.
The Master Trader Volatility Course is guaranteed to shed light on the dark art of volatility trading. Learn how to construct trades that power your portfolio to consistent profits — exploiting extreme market fear, IV spikes, contango, term structure, and volatility mispricings with defined risk.
11 Learning Pillars
Complete volatility curriculum
VIX & Volatility ETFs
Defined-edge trading strategies
$997 Value
Premium full course
Lifetime Access
Ongoing support & updates
Learn How to Profit From Trading Volatility Products After Extreme Fear or Greed
Understanding Volatility & The VIX
Master the mechanics of the VIX "Fear Index" and understand the exact drivers that cause rapid volatility shifts.
Trading VIX ETFs Long & Short
Learn how to trade long and short volatility ETFs using proven price patterns and volatility metrics.
VIX Options Pricing & Edge
Understand how VIX options are priced and how to construct high-probability trades with a mathematical edge.
Volatility ETF Price Mechanics
Analyze price structure, intraday moves, and structural tracking in products like UVXY, VXX, and SVXY.
Contango, Backwardation & Term Structure
Decode futures term structure and capture explosive yields during contango collapse or backwardation spikes.
Trading SPY & Volatility Regimes
Align SPY index setups with high and low VIX regimes to optimize your entry timing and direction.
Futures Drag in Commodity ETFs
Understand the structural drag on futures-based commodity ETFs and why it represents a major trading opportunity.
Leveraged ETF Risks & Opportunities
Manage decay and volatility drag in 2x and 3x leveraged ETFs while capturing asymmetric reward profiles.
Timing Entries with MTS Principles
Apply Master Trader Strategies (MTS) price-action setups to time exact long and short volatility entries.
Exact Buying & Management Setups
Follow strict rules-based setups to buy volatility products and manage position risk through the move.
Profiting From Selling Market Fear
Capitalize on spiked volatility after mini-crashes by writing high-odds option credit spreads at market bottoms.
Why Volatility Mastery Matters
Turn Market Fear into Profit
When panic strikes and stock markets tumble, volatility spikes create some of the highest-odds profit windows of the year.
Exploit Structural Contango
Understand futures term structure to profit from the natural price drag built into volatility products.
High-Probability Options Premium
Learn to write options when implied volatility inflates option premiums to extreme overvalued levels.
Built for Swing & Day Traders
Setups apply to intraday momentum moves as well as multi-day swing positions in VIX and SPY ETFs.
What Traders Are Saying
Understanding volatility and contango changed my entire perspective on options and market crashes. Instead of panicking during market drops, I now look forward to volatility spikes to write high-yield credit spreads with confidence.
Included FREE with the Complete MTS Options Bundle
A $997 Value — Included in Our Full Options Curriculum. When you purchase the Complete MTS Options Trader Bundle, you receive Trading Volatility: The Ultimate Course alongside 4 other premium options courses at massive savings.
Total Value of Options Curriculum: $6,285 — Complete Bundle Offer: $1,997/Lifetime (Save $4,288!)
- ✓ Trading Volatility: The Ultimate Course ($997 Value)
- ✓ Master Trader Option Strategies Series ($2,997 Value)
- ✓ Entry Level Credit Spread Course ($297 Value)
- ✓ Mastering Advanced Credit Spreads ($997 Value)
- ✓ Directional Option Strategies ($997 Value)
Complete Options Bundle Offer. Get this course included when you secure the complete bundle today.
Explore the Complete Options Bundle → Or buy just this course for $997Why Choose Master Trader?
Trusted, Time-Tested Veterans
Over 30 years' experience teaching traders how to trade volatility and options professionally through every market cycle.
Proven Methodology
A structured approach combining technical analysis, volatility metrics, and intermarket analysis.
Real Education, Not Fluff
No gimmicks. No lagging indicators. Just price-based volatility execution skills that last.