https://preview.redd.it/eqytp9swv64h1.png?width=885&format=png&auto=webp&s=ed8405f15c9639636bc62ce8545f0f630e573573 Sharing with primarily for the "sell premium for income" family. The SP500 (using SPY here) often has risk premium, but often it's not a ton. 68% of trading days show an average of 0.98pts of vrp. this doesn't make selling bad but its a good reminder that blindly selling all the time puts you in front of distinct periods where not only can it be non-existent (32% of the time) but heavily negative (note the skew to the negative side compared to the positive). all general FYI for strategy development and refinement. submitted by /u/esInvests [link] [comments]