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Kris Abdelmessih: Using Options Volatility to Trade Smarter | The Outlier Podcast

The Outlier Trading Podcast

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Navigating Risk and Volatility in Trading

This chapter explores the essential aspects of risk management in trading, particularly focusing on local risk and its connection to unexpected market fluctuations. It highlights the importance of Value at Risk (VaR) and the need for traders to adjust their risk assessments amid extreme market shifts while managing options trading strategies. Additionally, it examines the challenges of volatility trading for retail investors, addressing the complexities of bid-ask spreads and the significance of efficient cost management.

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