
Chris Murphy
Co-Head of Derivative Strategy at Susquehanna, providing market color and trading implications on equity volatility, single-stock flows, and option structures.
Best podcasts with Chris Murphy
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8 snips
Feb 21, 2025 • 18min
VIX, Rates Vol, Gold With Susquehanna: All Options Considered
In this engaging discussion, Chris Murphy, Co-Head of Derivative Strategy at Susquehanna, delves into the current state of financial market volatility and the unique behaviors of hedge funds. He highlights the low correlation in stock markets and shares strategies for capitalizing on volatility in individual stocks and commodities. The complexities of VIX call options and the recent rally in gold are also examined, providing insights into broader market expectations influenced by economic factors and Fed policies.

Oct 10, 2025 • 12min
All Options Considered: Equity Derivatives With Susquehanna
In this engaging conversation, Chris Murphy, Co-Head of Derivative Strategy at Susquehanna, dives into the intricacies of equity volatility. He explains the significant spread between VIX and realized S&P volatility and discusses the implications of low stock correlation. The dialogue also covers the rise of single-stock volatility, upside call demand, and how macro volatility selling impacts the VIX curve. Chris's insights pave the way for better trading strategies in a complex market landscape.


