Trading a Forecast of a Forecast: Why VIX Trading Confuses Traders episode artwork

EPISODE · May 21, 2026 · 14 MIN

Trading a Forecast of a Forecast: Why VIX Trading Confuses Traders

from Thinking In Options with Bill Johnson · host Bill Johnson

Why do so many traders lose money on VIX trades — even when they correctly predict volatility? In this episode of Thinking In Options, Bill Johnson breaks down one of the most misunderstood concepts in options trading: how VIX options and futures actually work. Using a simple but brilliant weather forecast analogy, Bill explains why VIX contracts are not direct bets on current market fear — they're bets on future expectations of future volatility. That distinction changes everything. Topics covered in this episode include: Why VIX options often fail to react the way traders expect The hidden "calendar problem" behind volatility trading How VIX futures differ from stocks and standard options Why traders can correctly predict market chaos and still lose money The critical difference between forecasting volatility and forecasting forecasts How weekly VIX futures changed the structure of volatility trading If you've ever been confused by VIX behavior, volatility ETFs, or why your hedge didn't work the way you expected, this episode will help you understand the mechanics behind the market. Subscribe for weekly episodes covering the psychology, structure, and strategy behind options trading. #OptionsTrading #VIX #Volatility #TradingPsychology #OptionsEducation #TradingStrategy

Episode metadata supplied by the publisher feed · Published May 21, 2026

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Trading a Forecast of a Forecast: Why VIX Trading Confuses Traders

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