VIX индекс страха – Изменчивости Опционной биржи в Чикаго

VIX индекс страха – показывает состояние рынка, his direction and mood. The regularity of the indicator is as follows, what when the market falls, volatility index is growing, and when the market grows, volatility index is decreasing.

VIX Index – символ тикера для Индекса Изменчивости Опционной биржи в Чикаго, popular measure of implied instability S&P 500 index options. High value corresponds to a more volatile market and therefore more expensive options, которые могут использоваться, to pay the risk of volatility. If investors see high risks of price changes, they will demand, for a large premium to insure against such a change, продавая варианты. Often called the Fear Index, this represents one measure of market expectations for volatility over the next 30 day period. Continue reading “VIX индекс страха – Изменчивости Опционной биржи в Чикаго”