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Mike Silva on Market Volatility Analysis, Risk Management Techniques, and Trading Strategies During Recessions

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Navigating Market Volatility

This chapter explores the unpredictable nature of market volatility, particularly during rapid regime changes, and the differing strategies employed by various traders. The speaker shares personal insights on trading evolution and the role of risk management in adapting to these fluctuations, while analyzing recent spikes in the VIX and their historical significance. Emphasizing the importance of technical analysis and scenario planning, the chapter highlights how traders can effectively navigate volatile markets.

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