Profiting from Realized Volatility:
Due to the financail crisis of 2008 and the rise of the European sovereign-debt crisis there has been increased intrest in explicitly trading market risk.This presentation will provide an overview of one way to profit from the increase in risk – Realized Volatility contracts. There will be an exposition on this new contract including how it differs from current market based measures of risk. Specific examples of profitable trading stategies will be provided as well as addressing the issue of portfolio rebalancing. The presentation will conclude with an extension of the current FX based contracts to the equity markets
Presented by Alon HonigNOTE I now post my TRADING ALERTS into my personal FACEBOOK ACCOUNT and TWITTER. Don't worry as I don't post stupid cat videos or what I eat!