Flirting with Models

Kris Sidial - Long Volatility for the New Regime (S3E14)

Sep 8, 2020
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Episode notes
1
Introduction
00:00 • 3min
2
What's Your Background?
03:07 • 5min
3
The Difference Between Being a Speculative and a Buy Side Trader
08:22 • 4min
4
Vega Risk - How to Balance a Portfolio and a Large Book?
12:28 • 3min
5
Why Do You Want to Jump Ship and Start Your Own Firm?
15:49 • 2min
6
Market Micro Structure Is Changing Immensly
17:48 • 2min
7
Is There a Market Like the 80s?
20:17 • 5min
8
Is the Ultimate Idea That the Market Isn't Appropriately Pricing This Risk?
25:25 • 2min
9
Is the Back Test the End All Be All?
27:08 • 5min
10
How Do You Structure Your VIX ETF Trading Strategy?
32:27 • 3min
11
Is the Book a Composite of Moving Pieces?
35:29 • 2min
12
The Relative Value Dispersion Sleeve
37:37 • 4min
13
Taking Profits Off the Table
41:32 • 5min
14
ETFs and the VIX Contango Strategy
46:40 • 5min
15
Taking Advantage of High Gamma and Capturing High Theta
51:37 • 2min
16
Managing a Profitable Dispersion Book
53:07 • 3min
17
Kurtosis Trading - The 3rd Sleeve
56:19 • 6min
18
The Curse by Volatility
01:01:54 • 2min
19
What's the Psychology Behind the Volatility of the Market?
01:03:28 • 5min
20
How to Manage Risk in a Book Like This
01:08:42 • 3min
21
What Are You Most Excited About Going Forward?
01:12:08 • 2min