Chapters
Transcript
Episode notes
1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23
Introduction
00:00 • 3min
Is the Regulation of OTC Derivatives a Good Thing?
03:04 • 5min
The Gamma of an Option and the Way in Which a Dealer Hedges
07:43 • 4min
Is There a Relative to the Downside of Puts?
11:31 • 3min
Vix Is Forward Looking, Right?
14:25 • 2min
The Volatility Risk Premium
16:03 • 2min
What Is Tail Risk?
18:15 • 4min
Is There a Difference Between Low and Cheap?
22:43 • 4min
What Is Realized Volatility for Single Stocks?
26:43 • 4min
What's the Opportunity Set for Retail Call Options?
31:03 • 3min
Market Makers Don't Set the Price
34:16 • 1min
Is Your Trading Process a One Sided Market Maker?
35:37 • 4min
What's the Difference Between Credit Risk and Credit Volatility?
39:42 • 2min
The Volatility of the Inrates Has Come Back Off a Little Bit
41:50 • 4min
How Much Does Roe Play a Role in Options Markets?
46:08 • 4min
Is There Something There There That Can Be Done?
50:27 • 3min
The Greatest Mistakes Retail Traders Make
52:59 • 2min
What Is the Possible Pay Off?
54:35 • 3min
Buying Short Dated Options on Meanstocks?
57:57 • 3min
Macra Views in Derivatives Markets
01:00:30 • 2min
Makro Trading
01:02:55 • 3min
Is the Vix Spiked for the S and P 500 to Bottom?
01:05:26 • 2min
Do You Need a Vix to Know When the Market Has Bottomed?
01:07:27 • 1min