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Clarity 2 Capital University

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Earnings Playbook

$35
$35

Learn how to maximize your return on earnings trades

Four times a year, the market hands you the most volatile, most opportunity-rich, most dangerous trading environment there is. The moves are bigger. The premiums are juicier. And the traps are everywhere β€” because if you don't understand what IV crush is doing to your contracts, you're not trading earnings. You're gambling on them.

This is the class that fixes that. I'm walking you through my complete earnings playbook β€” the exact framework I use to decide what's worth taking, how to structure it, and how to size it so one bad print never wrecks your account.

What you'll learn:

  • How I decide which earnings plays are worth taking β€” and which to leave alone

  • IV crush explained in plain English, so you stop being "right" about direction and still losing money

  • Playing the move before the report vs. after the report β€” and why the after-move is often the safer money

  • Which option structures survive earnings and which ones stand directly in front of the crush

  • How to size an earnings play so a single report can't blow up your account

  • Small-account-friendly ways to participate without holding risky lottery tickets

You'll leave with a repeatable framework you can run every earnings season β€” not just this one.

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Clarity 2 Capital University

Earnings Playbook

$35
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