Panel: Volatility and tail-risk strategies
Thu May 24, 2012
Profiting from volatility and tail-risk events
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After a relatively positive start to the year, fear has
returned to the markets in the last few weeks. The potential
for shocks remains high as volatility persists and the
macroeconomic outlook remains far from clear - and investors
are increasingly anxious to protect themselves against the tail
events that could do such damage again to their portfolios.
|Jerry Haworth, Lee Robinson, Paul Sansome, Claire
Smith, Neil Wilson
It seemed particularly timely, therefore, that this year's
EuroHedge Summit ended with a panel session devoted to
discussing the benefits and various approaches of volatility
and tail risk strategies - including those that are
specifically designed to...
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