EPISODE · May 14, 2012 · 49 MIN
Volatility Views 53: An Insider's View of Risk Management
from Volatility Views
Volatility Views 53: An Insider's View of Risk Management Volatility Review: There is an extra note of tension in the market with S&P vol waiting for the other shoe to drop. NASDAQ vol is slightly higher. JPMorgan news does little to rattle VIX. Volatility Viewpoint: Today's guest, Todd Petzel, the Chief Investment Officer at Offit Capital, sits down with Mark and Don, and discusses myriad aspects of volatility and risk management. Topics include:. The instruments he uses to manage portfolio risk. Structured VIX products. Go-to products. Financial investors and their lacking use of options. Pending regulations concerning position limits Crystal Ball: Sebastian sees the market bouncing around in the short term. A safe trade may be shorting U.S. treasuries. There is still a continued contraction between implied risk premium and realized vol levels. Vol may go higher, but without anything dramatic moving it.
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Volatility Views 53: An Insider's View of Risk Management
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