Featured Model

SPY Options Model

A disciplined options strategy for the S&P 500 with adaptive volatility signals.

The SPY model uses QVL's volatility intelligence to identify high-probability opportunities in the S&P 500, with a focus on risk-adjusted returns across all market conditions.

Annualized Return (CAGR)

+17.7%

(2017 - 2026)

0%100%200%300%400%20172020202220242026
SPY

SPY

ETF Options

MarketS&P 500 (SPY)
InstrumentOptions
Strategy TypeVolatility-Based
Risk ProfileModerate
Typical Holding PeriodDays to Weeks

+17.7%

CAGR

0.84

Sharpe Ratio

-29.8%

Max Drawdown

View Pricing

What Makes The SPY Model Powerful

Volatility Intelligence

Identifies opportunity using real-time volatility analysis.

Risk-Aware Signals

Designed to manage risk across market conditions.

Consistent Methodology

A disciplined, rules-based approach.

Transparent Performance

Full historical results and key metrics.

Explore how the SPY model can fit into your trading goals.

View Pricing

What Every QVL Model Includes

Everything you need in one place.

Clear Trading Signals

Actionable, rules-based options signals

Risk Context

Position sizing and risk guidance

Performance History

Historical results and key metrics

Model Methodology

Transparent, easy to understand

QVL Copilot Support

Get answers and insights anytime

Ready to Explore?

Start your trading journey with QVL.

Get full access to all models and powerful tools.

View Pricing