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The Macro Show [FREE EDITION] | April 7th, 2025

Hedgeye Podcasts

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Navigating Market Volatility

This chapter explores proactive strategies for navigating financial market volatility, with a focus on bonds and currencies. It discusses advanced techniques for risk assessment, the implications of rising credit spreads, and human behavioral responses to market fluctuations. The conversation emphasizes the significance of volatility indices and disciplined risk management strategies amid a bear market environment.

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