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Vol Persistence, The Unholy Trinity of Risk, and the (100 yr) Dragon Portfolio for our 100th episode with Chris Cole

The Derivative

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Navigating Volatility Markets and Risk Management Strategies

The chapter delves into recent fluctuations in volatility markets, focusing on commodity and equity volatility, particularly in the S&P market. It explores strategies like buying volatility to surpass market expectations, drawing parallels to growth stock investing. The conversation expands to discussing historical instances of risk, the significance of the sticky strike regime, and the implications of a fundamental rebid of tail risk in the marketplace.

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