
Boaz Weinstein on Credit Investments
Masters in Business
Navigating Volatility and Investment Strategies
This chapter examines the effects of market volatility, particularly highlighting the collapse of Lehman Brothers and the resulting trading strategies like closed-end fund arbitrage. It explores the advantages and challenges of investing in closed-end funds versus ETFs, the potential of SPACs, and the importance of tail hedging for risk management. Additionally, personal reflections about the hedge fund's name, 'Saba', connect the speaker's family history to their investment philosophy.
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