
Lead-Lag Live
Exploring Bonds, Options, and 'End of the World' Scenarios: A Deep Dive into Market Trends with Erik Smolinski
Oct 8, 2023
Erik Smolinski, an expert in bonds, options, and market trends, delves into the fascinating world of bonds, options, and how Twitter's Spaces platform is shaping up. They explore the potential 'end of the world' scenario as the bull case for stocks. They also discuss the rising speed of treasury yields, the correlation between stocks and treasuries, and the potential impact of the looming pension refinancing crisis on the stock market. They analyze options pricing, overvaluation, the dollar's impact on the market, using options for trading earnings, and volatility products.
52:40
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Quick takeaways
- The rising speed of Treasury yields and the potential credit event they signal is causing dislocations in various parts of the market.
- During a credit event, volatility becomes a key factor in options trading, with traders focusing on trading volatility through options strategies to profit from market fluctuations.
Deep dives
Treasuries experiencing disorderly and disturbing speed movement
The speed at which Treasury yields are rising is concerning, as it is causing a significant impact on the market. The current movement of Treasuries suggests a potential credit event that could have far-reaching consequences. The market is experiencing volatility and a sense of disorder as investors try to navigate the changing landscape. This speed and movement in Treasuries is causing dislocations in various parts of the market, with hedge funds shorting Treasuries and causing additional disruptions. The Federal Reserve's actions and potential intervention will play a crucial role in stabilizing the situation.
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