A comprehensive guide to the empirical efficacy of technical, volatility, and macroeconomic indicators in harvesting the Variance Risk Premium through systematic SPX option selling. Master VIX/VXV ratios, Morning VVIX anomalies, mean-reverting tactical indicators, and dynamic position sizing for optimal risk-adjusted returns.

šŸ“Š Deep Research • šŸ“ˆ Options Strategy

Topics: quantitative finance, investment analysis, financial education, options trading, derivatives