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Volatility as an Asset Class with Jason Buck, Zed Francis, Rodrigo Gordillo, and Luke Rahbari

The Derivative

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Adding Long Volatility to Your Portfolio, Is That a Behavioral Advantage?

Long volatility tail risk is a negative line item but it's there when you need it most. We've all lived through 2007, 2008 and so having these structurally in your portfolio that can provide you with convex cash positions keeps you from doing anything stupid at an opportune moment. And then more importantly, it can force you to rebalance at a lower nap point with those other asset classes.

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