How SpaceX's IPO Volatility Reshapes Options Strategies episode artwork

EPISODE · Jun 13, 2026 · 8 MIN

How SpaceX's IPO Volatility Reshapes Options Strategies

from Options Trading with Fexingo: Calls, Puts, and Derivatives for Retail Investors · host Fexingo

On Episode 48 of Options Trading with Fexingo, Lucas and Luna dive into the massive volatility event surrounding SpaceX's IPO. With the S&P 500 near all-time highs and the VIX at 17.68, they explore how options traders can use volatility skew and post-IPO option strategies to profit from the record-setting $75 billion raise. Luna questions whether retail traders can realistically trade SpaceX options given limited initial allocations, while Lucas breaks down the mechanics of trading volatility around high-profile debuts. They also discuss how the VVIX's rise to 93.82 signals tail risk hedging opportunities. Key strategies covered include selling puts into elevated implied volatility, using calendar spreads to capture the volatility crush, and positioning for the first earnings move. This episode is essential for options traders looking to understand event-driven volatility in the context of the 2026 market environment. #SpaceX #IPO #OptionsTrading #Volatility #VIX #VVIX #OptionsStrategies #FexingoBusiness #BusinessPodcast #Finance #Investing #Derivatives #LucasAndLuna #MarketVolatility #IPOVolatility #Skew #CalendarSpread #RetailInvestors Keep every episode free: buymeacoffee.com/fexingo

Episode metadata supplied by the publisher feed · Published Jun 13, 2026

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How SpaceX's IPO Volatility Reshapes Options Strategies

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This episode was published on June 13, 2026.

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