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GM 78: The Market Risk Nobody’s Watching ft. Dave Dredge & Cem Karsan

Top Traders Unplugged

CHAPTER

Navigating Market Volatility and Risk Management

This chapter discusses the gap between risk management and market performance, emphasizing the need for strategies that consider both risks and opportunities. It examines the impact of callable bonds, interest rate volatility, and the liquidity challenges faced by investors, drawing historical parallels to identify emerging opportunities. The narrative also explores the current challenges policymakers face, highlighting the necessity of proactive risk management to navigate an increasingly turbulent economic landscape.

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