VOL03: The Evolution of the VIX ft. Stefan Wintner
Top Traders Unplugged10 Marras 2021

VOL03: The Evolution of the VIX ft. Stefan Wintner

In today’s episode, Jason Buck is joined by Stefan Wintner of DUNN Capital, to discuss volatility as an asset class, the evolution of the VIX from its inception until now, some of the mechanics behind the VIX, the relationship between the VIX and the S&P 500, some thoughts on ‘volatility relative-value’ trading, the reliability of the VVIX, building and running models during different market environments, thoughts on kurtosis and skew, and volatility as a necessary component for a large Trend Following firm.

-----

50 YEARS OF TREND FOLLOWING BOOK AND BEHIND-THE-SCENES VIDEO FOR ACCREDITED INVESTORS - CLICK HERE

In this episode, we discuss:

  • Volatility as an asset class of its own
  • The journey of the VIX from its early days until now
  • Analysing the relationship between the VIX and the S&P 500
  • What’s known as volatility relative-value trading
  • The usefulness of the VVIX
  • Operating models during different market and economic environments
  • Kurtosis and skew
  • The need for Volatility strategies as part of a diversified investment portfolio

Follow Niels on Twitter, LinkedIn, YouTube or via the TTU website.

IT’s TRUE ? – most CIO’s read 50+ books each year – get your FREE copy of the Ultimate Guide to the Best Investment Books ever written here.

And you can get a free copy of my latest book “Ten Reasons to Add Trend Following to Your Portfoliohere.

Learn more about the Trend Barometer here.

Send your questions to info@toptradersunplugged.com

And please share this episode with a like-minded friend and leave an honest Rating & Review on iTunes or Spotify so more people can discover the podcast.

Follow Jason on Twitter.

-----


Episode TimeStamps:

00:00 - Intro

02:05 - Why should somebody add volatility strategies into their portfolio?

04:48 - Do you consider Volatility to be an asset class of its own?

05:58 - What was it like during the early days of the VIX market?

08:28 - What is the VIX, and what is the calculation that goes into the VIX?

14:07 - Tell us a little bit about the relationship between the VIX and S&P 500

19:37 - How does volatility risk premium relate to other datasets you use?

25:03 - What is ‘volatility relative-value’ trading?

27:37 - How do you think about the ratio that you combine between the S&P 500 & the VIX?

30:31 - Is it true that if you see a spike in the VIX, you’ll look to take advantage via the front-month volatility in that spike?

33:29 - Do you think VVIX is a good measure for the volatility of volatility?

35:09 - How do you use options in a creative way in your portfolio?

37:22 - How do you identify and think about possible mispricings in the market?

40:40 - Do you try to track both the normal price and OTC prices?

42:00 - How do you approach building & running volatility models during different market environments?

47:22 - Describe what volatility traders experienced during the ‘volmaggedon’ of February 2018

55:06 - How did you trade through the ‘known risks’ 2020 election?

59:15 - How much can you rely on market history as a predictor for the future?

01:02:49 - Is it true you’re likely to experience long periods of flat to negative performance while waiting for those huge, profitable moves in volatility?

01:06:09 - How do you think about kurtosis and skew, and how they relate to other strategies?

01:08:56 - Do you view what you do as a necessary component of a large Trend Following firm?

Copyright © 2025 – CMC AG – All Rights Reserved

----

PLUS: Whenever you're ready... here are 3 ways I can help you in your investment Journey:

1. eBooks that cover key topics that you need to know about

In my eBooks, I put together some key discoveries and things I have learnt during the more than 3 decades I have worked in the Trend Following industry, which I hope you will find useful. Click Here

2. Daily Trend Barometer and Market Score

One of the things I’m really proud of, is the fact that I have managed to published the Trend Barometer and Market Score each day for more than a decade...as these tools are really good at describing the environment for trend following managers as well as giving insights into the general positioning of a trend following strategy! Click Here

3. Other Resources that can help you

And if you are hungry for more useful resources from the trend following world...check out some precious resources that I have found over the years to be really valuable. Click Here

Privacy Policy

Disclaimer

Tämä jakso on lisätty Podme-palveluun avoimen RSS-syötteen kautta eikä se ole Podmen omaa tuotantoa. Siksi jakso saattaa sisältää mainontaa.

Jaksot(960)

IL52: Why Staying Calm Is the Ultimate Investing Edge ft. David Booth

IL52: Why Staying Calm Is the Ultimate Investing Edge ft. David Booth

In today’s episode we talk with a pioneer of modern asset management, Dimensional Fund Advisors founder David Booth. David founded Dimensional in 1981 and it has since grown to over $1 trillion in ass...

26 Elo 47min

SI414: The Hidden Risks Beneath the Treasury Market ft. Mark Rzepczynski

SI414: The Hidden Risks Beneath the Treasury Market ft. Mark Rzepczynski

Niels Kaastrup-Larsen and Mark Rzepczynski examine the warning signs emerging beneath seemingly calm markets, from extreme single-stock moves and commodity shortages to growing strains in the U.S. Tre...

22 Elo 1h 14min

ALO38: Why the Old Rules of Diversification Are Changing ft. Mike Pyle

ALO38: Why the Old Rules of Diversification Are Changing ft. Mike Pyle

Alan Dunne is joined by Mike Pyle, Deputy Head of BlackRock’s Portfolio Management Group, to explore how a supply-driven world is reshaping markets and portfolio construction. They discuss the transit...

19 Elo 1h 4min

SI413: Why Trend Following Is More Than Crisis Alpha ft. Andrew Beer & Tom Wrobel

SI413: Why Trend Following Is More Than Crisis Alpha ft. Andrew Beer & Tom Wrobel

Niels Kaastrup-Larsen is joined by Andrew Beer and Tom Wrobel to examine a remarkable period for systematic investing. They discuss how CTAs have navigated volatile moves across equities, commodities,...

15 Elo 1h 21min

ALO37: Investing in the New World Order ft. Charles-Henry Monchau

ALO37: Investing in the New World Order ft. Charles-Henry Monchau

Charles-Henry Monchau joins Alan Dunne to discuss how geopolitics, artificial intelligence and structural economic shifts are reshaping global investing. They explore the AI supercycle, the changing b...

12 Elo 1h 2min

SI412: Portable Alpha: Asking the Questions That Matter ft. Harry Moore

SI412: Portable Alpha: Asking the Questions That Matter ft. Harry Moore

Niels Kaastrup-Larsen and Harry Moore explore the latest developments in trend following, the AI investment boom and why diversification matters most when markets come under pressure. They discuss CTA...

8 Elo 1h 19min

ALO36: The Endowment Playbook for Long-Term Investing ft. Paul Chai

ALO36: The Endowment Playbook for Long-Term Investing ft. Paul Chai

Paul Chai joins Alan Dunne to discuss what it takes to manage a perpetual investment portfolio designed to support future generations. As CIO of the Kansas State University Foundation, Paul explains h...

5 Elo 1h 1min

SI411: Why the Best Portfolios Are Built to Be Wrong ft. David Dredge & Richard Brennan

SI411: Why the Best Portfolios Are Built to Be Wrong ft. David Dredge & Richard Brennan

The future isn’t hidden. It hasn’t been written yet. That idea anchors this foundational conversation between Dave Dredge, Richard Brennan and Niels Kaastrup-Larsen, on what risk really means in marke...

1 Elo 1h 59min

Suosittua kategoriassa Liike-elämä ja talous

sijotuskasti
mimmit-sijoittaa
rss-rahapodi
psykopodiaa-podcast
ostan-asuntoja-podcast
hyva-paha-johtaminen
pomojen-suusta
rss-rahamania
rss-ammattipodcast
oppimisen-psykologia
rahapuhetta
rss-hikipaja
rss-bisnesta-bebeja
pari-sanaa-lastensuojelusta
rss-inderes
rss-muutoksenanatomiaa-podcast
rss-porssipodi
rss-vaikuttavan-opettajan-vierella
rss-pinnan-alle
rss-oivalluksia-rahasta-elamasta