Gold's volatility rise in 2025 but from a low base, back to normal levels. Despite the rise, adding gold to a diversified ...
Simply sign up to the Private equity myFT Digest -- delivered directly to your inbox. This matters, because institutional investors care a lot about their risk-adjusted returns, and many will use ...
CHICAGO--(BUSINESS WIRE)--SpiderRock Gateway Technologies (“SpiderRock”), a leading provider of analytical option data, announced today the release of “Chart Tool”, a web application for visualizing ...
Volatility trading has been booming in recent years as hedge funds and a growing number of traditional fund managers have turned to volatility products, particularly variance swaps, for trading ...
We believe the post-pandemic investment regime characterized by higher inflation, rates, and valuations will require a new approach to equity investing. While there are no crystal balls in investing ...
With U.S. equity volatility receding to below the five-year average of around 20 on the VIX after Q2 peak trade tariff concerns, markets became relatively complacent. Then the renewed U.S.-China trade ...
ORLANDO, Florida, April 4 (Reuters) - As implied U.S. interest rates revisit their cycle highs from last year and bond yields break out to fresh 2024 peaks, stocks may be at risk of getting vertigo.
On April 2, 2025 – dubbed “Liberation Day” by President Donald Trump – the United States launched a sweeping round of tariffs, targeting virtually every trading partner. The move, aimed at rebalancing ...
Emerging market equities portfolio managers Archie Hart and Varun Laijawalla argue that stronger fundamentals, pragmatic policy and resilient performance are changing how investors view risk in ...
U.S. equity markets are in a period of extended calm, with the benchmark S&P 500 Index closing in on one year since it last dropped 2% in a single day. An extended period of calm means investors must ...