
VIX, Rates Vol, Gold With Susquehanna: All Options Considered
FICC Focus
00:00
Intro
This chapter examines the current volatility in financial markets, highlighting the low realized volatility in the S&P 500 alongside increasing economic policy uncertainty. It contrasts macro-level stability with significant stock-level activity, illustrating how hedge funds are adapting strategies in response to these dynamics.
Transcript
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