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How Options Market Makers Manage Their Execution Risk
In the case of hedging activity, mutual fund flows, dislocating and pushing around the underlying S&P, what I never hear in those conversations is a sophisticated understanding of how option dealers have different ways to manage their execution risk. There are both exchange exemptions as well as an over the counter market that you can use to spread your execution when it's large out over suchEnough time that the market impact is so diffuse that it's not going to matter. The people doing this stuff aren't dumb, the professional option risk managers. They're using techniques and working with their clients to execute that market exposure in a way that isn't going to have an impact.