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 • 2min
Yu Andi
02:02 • 4min
Long Days at Options - What Draws Us to Volatility?
05:53 • 3min
The Gambling Analogue
08:27 • 2min
Pan Asset Classes
10:31 • 2min
Long Volatility
12:40 • 2min
Investing in a Diversified Portfolio Is a Good Idea
14:38 • 2min
Currency Volatility Is Like a Train Leaves the Station
16:11 • 2min
What Is Long Volatility?
17:50 • 3min
Why Add Long Volatilityo Your Portfolio?
20:29 • 4min
Investing in Long Volatility
24:53 • 2min
How to Profit From Periods of Secular Change
26:57 • 3min
Long Volatility and Commodity Trend - Are They Designed for a Rainy Day?
30:13 • 1min
The Right Tail of Volatility
31:39 • 6min
Right Tail Skew and the Over Buying of Calls
37:30 • 2min
Is Liquidity a Cure for Insolvency?
39:10 • 2min
The Future of Options Trading?
41:02 • 2min
I've Been Able to Stand Up Paddleboard While I Was in Corsica.
43:09 • 2min
The Anti Correlation of the Vix and the Kintango Curve?
45:34 • 3min
How to Manage Volatility Risks
48:27 • 2min
What's a Calendar Spread on Vix?
50:12 • 2min
The Capital Efficiency of Trading Futures in a Day?
52:12 • 5min
Is Alpha a Cool Swiss Alpine Meadow?
57:29 • 2min