
Is the S&P 500 Enough?
Barron's Streetwise
Navigating Equity Derivative Risk
This chapter explores managing portfolio risk in the equity derivative space amid shifting market sentiments influenced by political events. It discusses investor behavior regarding options, highlighting the complexities and strategies of hedging, including protective put buying and covered calls. The dialogue also addresses the implications of rising correlations and market volatility, ultimately offering insights on making informed investment decisions during uncertain times.
00:00
Transcript
Play full episode
Remember Everything You Learn from Podcasts
Save insights instantly, chat with episodes, and build lasting knowledge - all powered by AI.