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What Happens When Treasury Products Flood The Market? with Aya Kantorovich and Shiliang Tang

The Rollup

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Navigating Market Risks and Options Trading

This chapter explores the risks associated with the current bull run in the market, particularly focusing on macroeconomic factors like inflation and systemic debts. It delves into strategies for managing investments, such as buying call options, while addressing the complexities of options trading in cryptocurrencies. The discussion also highlights the potential impacts of financial products' inclusion in the S&P 500 on market volatility and investor interest.

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