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The Big Volatility Short - The Best Trade On Wall Street

How to trade volatility the correct way to maximize return and minimize your risk.

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A Winning Strategy Every Trader Should Know

The core of this strategy involves making a protected bet against volatility when it's high. This is the only kind of bet that has worked every single time in the history of the stock market. Why? Because high volatility always goes down, given enough time. That's what makes this such a powerful strategy. The ETFs that track volatility also have extremely steep decay profiles. Since we're betting against volatility, this gives us an additional edge. That gives us a strategy with 2 extremely powerful factors working in our favor.

Maximize Leverage And Safety

This course will take you from beginner to expert on volatility, the VIX, and the ETFs that track it. We'll also go over what to watch out for and some of the techniques I use for setting up volatility trades the right way. If we plan our trade setup properly, and manage our risk aggressively, we should be able to win every single trade we make. I'll show you how.

What You'll Get From This Course:

  • Why this trade is nearly impossible to lose money on (when set up properly)
  • The most important aspects of how the VIX works
  • The best times to enter and exit the trade
  • Learn how to make money every single year consistently
  • Learn how to use ETF decay to your advantage
  • Use the VIX ETFs to put 2 extremely powerful fundamental factors in your favor
  • Take advantage of profitable situations when the stock market presents them
  • Learn how to tell the difference between short term pullbacks and recessions
  • Learn effective risk management techniques
  • Understand examples of past volatility events and compare them to new situtations
  • All students can follow my trades in real time and get my exact entry and exit points for each trade for no extra cost, for the life of the course!
  • All students will get trade announcements so you'll never need to worry about missing a trade


Your Instructor


Peter Titus
Peter Titus

Peter Titus graduated from the University of Wisconsin- Madison with an engineering degree in 2003. He has been actively trading stocks and options since 2006 and has been building automated trading systems in Excel using Visual Basic for Applications (VBA) since 2009. He specializes in day trading stocks and ETFs.


Frequently Asked Questions


What account permissions do I need?
You will need the ability to short sell stocks, which will require a margin account. You may also want the ability to buy options in order to use all of the trading structures we discuss. If you are planning to trade real money, make sure your account has these permissions enabled. If you plan to trade simulated money or just want to learn and follow along, this isn't necessary.
How long do I have access to the course?
How does lifetime access sound? After enrolling, you have unlimited access to this course for as long as you like - across any and all devices you own.
When does the course start and finish?
The course starts now and never ends! It is a completely self-paced online course - you decide when you start and when you finish.
What if I am unhappy with the course?
We would never want you to be unhappy! If you are unsatisfied with your purchase, contact us in the first 30 days and we will give you a full refund.
Who is this course designed for?
This course is designed for beginner to intermediate level traders. It would be helpful to have some trading experience and knowledge of stocks before taking this course, but this is not necessary as the basics for all topics are covered before getting into the more advanced topics. Anyone can join!

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