In this engaging episode, Andy and Dennis discuss the current dynamics across different markets. They start with the stock market’s potential correction as signs suggest a high probability of a pullback due to the unusual rise in the VIX, indicating concerns about upcoming volatility. Dennis shares his strategy of buying puts for November, both as a speculative trade and a hedge, and discusses broader economic and geopolitical factors impacting market uncertainty. The conversation then shifts to the launch of Dennis’s new product, VIX Exchange, a newsletter providing regular market updates and trade recommendations. Furthermore, they dive into the oil market’s…