Rocco Cannizzaro - Surviving Market Crashes - 20240826 Raleigh Durham Traders
Автор: Raleigh Durham Open Systematic Options Trading Strategies
Загружено: 2024-08-26
Просмотров: 556
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Slides are at https://bit.ly/4cNeewy
As a result of the recent market crash (Aug 5th, 2024) which was accompanied by a huge volatility spike, many short-selling strategies (naked puts, 1-1-1, etc.) suffered severe drawdowns.
How can one mitigate the risks?
In this talk we discussed multiple aspects that can affect the p&l volatility of the portfolio, including:
Probability and Expectancy
Delta, Gamma, Vega risk
Credit vs Debit strategies
Hedging
Money management
Broker Differences
Rocco Cannizzaro is one our most followed members as he trades and researches all aspect of Options Trading. He is Senior Director, Advanced Analytics Research & Development for SAS here in Cary, NC. He trades actively and constantly and also teaches Options and does financial research. He does these talks out of a passion to share knowledge, meet other traders and exchange ideas.
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