In this week’s Crypto Long & Short Newsletter, Gregory Mall of Lionsoul Global on how ETFs have shifted a growing share of bitcoin volatility into U.S. equity options markets.
Both Investment strategies adopt long-short approaches designed to navigate volatile and uneven market conditions.
FTLS is the largest and second most liquid of these funds. All of them have an expense ratio over 1% except CSM, which tracks the Credit Suisse 130/30 Large Cap Index and has a constant 100% net long ...
Volatility refers to the extent of price fluctuations for a given asset or market. Historically, volatility has been inversely correlated with the stock market. When stock markets rally, volatility ...
The Cboe Volatility Index (VIX), commonly known as the fear index, measures the market's expectation of short-term volatility among stocks. Based on S&P 500 index options with near-term expiration ...
The S&P 500’s options market has been buzzing as investors brace for uncertainties like recession fears and conflicting signals from central banks, particularly the Federal Reserve and the Bank of ...
Roundhill Russell 2000 0DTE Covered Call Strategy ETF aims to capture the Russell 2000 upside while shorting daily volatility for weekly income. RDTE's strategy struggles due to high volatility, ...
The year began on a volatile note, with heightened geopolitical uncertainties and tariff tensions accounting for much of the uncertainty in January. Even so, markets proved resilient, with the S&P 500 ...
The Altiva Hybrid Long-Short Fund has doubled down on stability, parking over 70% of its portfolio in arbitrage and ...
With the S&P 500 back to within 1% of its all-time high, it may seem like a distant afterthought that investors were dosed with a wave of unexpected volatility on Monday August 5th. In the days prior, ...