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The barclays options trading strategy leverages volatility mispricing between implied and historical volatility by selling straddles on overvalued options (among other potential trade structures) How barclays exploits volatility mispricing, retail options flows, and the vrp to build an options strategy that consistently beats the market. It capitalizes on retail traders’ general tendencies to overprice options, allowing institutional traders to profit from the gap.
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Dumb money ceo prop firms code Barclays, with this newfound knowledge, found two very interesting ways of using irrational retail trades to their advantage… Powell how i trade 👇🏼
Key points from barclays' report
Retail influence on option volumes With increases in trading volume being far more significant than the increase in open interest, barclays concluded that these were speculative trades, not ones based on sound reason
