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Explained! Systematic Options Strategies with David Sun - David Sun

Resolve Riffs Investment Podcast

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Efficient Portfolio Diversification through Derivatives and Leverage

Thinking in terms of risk and utilizing derivatives allows for a more expansive approach to capital allocation. By seeking to harvest risk from diverse sources that are uncorrelated, one can enhance portfolio diversification. The interaction between stocks and bonds highlights the need for effective risk management, as stocks generally exhibit higher volatility. To maintain an optimal risk profile while blending these asset classes, derivatives facilitate expanded access to various risk premia without overly concentrating risk. Leverage is best viewed as a tool for increasing diversification opportunities rather than simply amplifying risk. Ultimately, this perspective on risk and diversification encourages a more profound understanding of return stacking within a portfolio.

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