Rob Emrich shares his thoughts on how to deal with market volatility. He says some exposure to volatility as an asset class should be part of any managed portfolio. Rob deploys the use of VIX options with regularity along side analysis of terms structure because it's too late to hedge when the markets are in a major flux. A market under duress lack s buyers and liquidity and it's better to prepare for an adverse market event before an adverse event shows up.
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