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Vineer Bhansali on Losing Fed Independence as the Biggest Tail Risk Right Now

Odd Lots

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Navigating Market Complexity and Volatility

This chapter explores the challenges of portfolio construction amid high market volatility and asset correlation, with a focus on the tech sector's performance amidst concerns of overvaluation. It features reflections from an experienced guest in finance on risk management, trading experiences, and the evolution of quantitative finance, alongside discussions on the dynamics of volatility selling. The conversation illustrates the intricate interactions between financial models and market behavior, emphasizing the dangers posed by liquidity issues.

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