63 Episodes

  1. Quarter 4 2020 Update

    Published: 2/02/2021
  2. 20. Benn Eifert

    Published: 14/01/2021
  3. 19. Diego Parrilla

    Published: 17/11/2020
  4. 18. Mike Green

    Published: 20/10/2020
  5. Legends in Volatility

    Published: 13/10/2020
  6. Quarter 3 2020 Update

    Published: 8/10/2020
  7. 17. Ernest Chan

    Published: 15/09/2020
  8. 16. Matt Rowe

    Published: 18/08/2020
  9. 15. Tim Jacobson

    Published: 17/07/2020
  10. 14. CBOE Vol Panel

    Published: 13/06/2020
  11. 13: Jason & Taylor: Volatility in the Times of Corona

    Published: 26/03/2020
  12. 12. Jeff Malec : New York & Chicago markets, Correlations, Investor Traits

    Published: 5/03/2020
  13. 11. Alex Orus: All about the VIX, Mean Reversion

    Published: 15/01/2020
  14. 10. Bastian Bolesta: Chaotistan vs Normalstan, Momentum vs Trend, Sharpe Ratio

    Published: 15/01/2020
  15. 9. Tom O'Donnell: Managed Futures, Short and Long Volatility, E-Minis.

    Published: 19/11/2019
  16. 8. Hari Krishnan: Profiting after market shock, Common Hedging Mistakes and Machine Learning in Markets.

    Published: 19/11/2019
  17. 7. Chris Cole: Long Volatility Strategies, George Lucas and Dennis Rodman

    Published: 19/11/2019
  18. 6. Wayne Himelsein: Negative Skew, Ergodicity and Thoughtful Diversification

    Published: 19/11/2019
  19. 5. Jason and Taylor (interview by Jeff Malec) : Portfolio Construction, Tail Risk and Black Swans

    Published: 1/11/2019
  20. 4. Why Mutiny? Part Four: Long Vol Equity Tail Hedging: Rolling Puts, Options, Straddles, Strangles, Volatility Arbitrage and Short-term Downcapture.

    Published: 26/07/2019

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This podcast is an open-ended exploration of topics relating to growing and preserving your wealth including investing, markets, decision making under opacity, risk, volatility, and complexity.

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