Well it was back to work on the panel of “Options Action” last Friday. On topic were commodities. The market is in a confirmed uptrend. However, stocks are well off their 52 week highs and all eyes are on the commodity markets. As I explain on the panel, when volatility rises it usually means stocks will decrease. However in commodity markets, they tend to follow implied volatility. Since we saw a spark in implied volatility or fear in inflation the past weeks you can see why we saw a lot of call buying. In other areas hear what I think of about the panel’s strategies technology, oil, and other option strategies.