I get this question a lot in DMs so putting it here so I can refer to it later. "Why do put options and call options at the same strike have different implied volatilities (attaches screenshot of broker GUI)?"
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Thanks. Twitter will use this to make your timeline better. UndoUndo
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I think it’s either a bit, or some kind of awkward attempt to point out that different strikes have different IVs? But probably a bit.
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bit for sure
End of conversation
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I’ve been fired now I’m head of tail hedging at ISIS
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