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The Big Volatility Short – The Best Trade On Wall Street by Peter Titus Overview
The Big Volatility Short – The Best Trade On Wall Street by Peter Titus
Volatility trading has long been considered one of the most challenging areas in financial markets. However, The Big Volatility Short – The Best Trade On Wall Street by Peter Titus reveals a unique, reliable strategy that allows traders to consistently profit by betting against volatility when it is at extreme levels.
At the heart of this method lies a protected short position on volatility. History has shown that whenever volatility spikes, it eventually falls back down given enough time. By combining this principle with the natural decay of volatility-tracking ETFs, this strategy provides traders with two powerful edges that make it one of the most dependable setups available.
Why Shorting Volatility Works
The main reason this strategy is so effective is because volatility is mean-reverting. When fear floods the market, volatility spikes, but as conditions stabilize, it almost always drifts back to normal levels.
In addition, volatility ETFs have steep decay profiles, meaning they naturally lose value over time. By betting against them when volatility is high, traders can capture profits from both the decline in volatility and the built-in ETF decay. This combination creates a near “can’t lose” setup when executed properly.
What You Will Learn In This Course
Peter Titus designed this course to take you from beginner to expert in trading volatility, the VIX, and volatility-tracking ETFs. The curriculum covers everything from fundamental concepts to advanced trade setups. Key takeaways include:
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Why the volatility short is one of the most powerful trades in Wall Street history.
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The most important mechanics of the VIX index and how it influences trading decisions.
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When to enter and exit volatility trades for maximum returns.
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How to make money consistently every year using this strategy.
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Leveraging ETF decay to amplify profitability.
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Spotting high-probability setups during market pullbacks, corrections, or recessions.
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Risk management techniques to minimize losses.
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Real-world examples of past volatility events and how to apply the lessons to new situations.
Course Structure and Modules
The course is structured in a logical, step-by-step manner to ensure learners of all levels can follow along.
Volatility Basics
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Introduction to the best trade on Wall Street
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Options basics and short selling
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How volatility works in financial markets
Trade Setup and Execution
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Understanding the VIX index
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ETF mechanics and components
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The role of contango and backwardation in volatility trading
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Strategies for both bull and bear markets
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Using margin to maximize leverage safely
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Three proven trading strategies to apply
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Gain/loss profiles and hedging techniques
Practical Applications
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Detailed walkthroughs of trade examples
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Risk management and capital allocation
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Comparing historical volatility events to current opportunities
The course also includes quizzes, discussions, and bonus materials to reinforce learning.
Why This Strategy Is Different
Unlike many trading methods that rely on speculation, this strategy is built on fundamental market behavior. High volatility always declines over time, and volatility ETFs are structured to lose value the longer they are held. These two factors work together to create a powerful, consistent trading edge.
Furthermore, this course emphasizes risk management and trade setup discipline. By carefully planning entries and exits, traders can avoid common pitfalls and increase their likelihood of success.
About the Instructor – Peter Titus
Peter Titus brings years of real-world trading experience to this course. After graduating from the University of Wisconsin-Madison with an engineering degree in 2003, he began actively trading stocks and options in 2006. Since 2009, he has also been building automated trading systems using Excel and VBA.
Peter specializes in day trading stocks and ETFs and has refined this volatility shorting strategy to deliver consistent results. His teaching approach is practical, detail-oriented, and backed by real market examples.
Who Should Take This Course?
This program is designed for:
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Beginner traders wanting to understand volatility and how to profit from it.
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Intermediate traders looking to sharpen their strategies with ETF decay and VIX knowledge.
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Advanced traders seeking reliable, high-probability setups to complement their trading arsenal.
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Options traders interested in hedging and maximizing leverage safely.
Conclusion
The Big Volatility Short – The Best Trade On Wall Street by Peter Titus provides traders with a proven blueprint to profit from one of the most reliable market patterns. By combining the mean-reverting nature of volatility with the decay of volatility ETFs, traders gain two powerful advantages that make this trade nearly impossible to lose—when executed with discipline and proper risk management.
If you want to add a consistently profitable edge to your trading strategy, this course offers everything you need to master the art of shorting volatility and maximizing returns year after year.

