I’m starting to dig into how options and futures markets interact, and I’m looking for good places to learn.
I’ve found helpful starting points around dealer hedging, gamma exposure, open interest, IV, expiration, and strike positioning, but I’m still early on the options side.
I’m mainly trying to understand how options and futures influence each other through hedging, volatility, liquidity, and positioning — and how traders think about both markets together.
Does anyone have good books, papers, threads, podcasts, data sources, or discourse on this?
Also curious if anyone here has studied this relationship themselves and found anything useful, misleading, or worth paying attention to.