Master IV: When to Buy Options & When to Sell
In this video, I break down Implied Volatility (IV) from a trader’s perspective and explain how smart option traders use volatility—not direction—to make consistent profits.
We start with India VIX, understanding what it really indicates about market fear, opportunity, and timing. Then we deep-dive into IV properties—how IV behaves during breakouts, reversals, events, and consolidation phases.
You’ll also learn how to read and apply IV Percentile (IVP) and IV Rank (IVR) to decide:
When buying options makes sense
When selling options gives an edge
When to stay out of the market
Finally, I explain practical options strategies based on IV conditions—low IV, high IV, and IV expansion/contraction—so you can align your strategy with volatility instead of guessing direction.
💡 Bonus Tip: Download and sign up on Quantsapp using the link below to explore these tools and follow along with me! 👉 http://web.quantsapp.com/?s=ar
This session is ideal for intraday, swing, and positional option traders who want to build a volatility-based trading framework.
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#SmartMoneyConcepts #TradingEducation

Seasoned derivatives expert with over 6 years of experience across equities, derivatives, and commodities markets. With a proven track record of successful trading and deep market insights.
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