

– Recorded on the 15th of September, 2022 –
Global markets are crumbling, inflation is rampant, the US and Europe verge on recession, and central banks are aggressively raising rates. Now more than ever, understanding volatility and investment risk is critical.
Options and market volatility expert Thorsten Wegener joins us on our first-ever educational webinar to discuss all things volatility. Thorsten spent twenty years trading equity derivatives and was a partner at Bear Stearns.
During the action-packed hour, Thorsten shared his wisdom on making high-probability investments, tackling the concept of randomness in investing, better understanding the VIX index and its relationship with markets, and more!
Please let us know your thoughts in the comments below, as we’re potentially looking to host more of these educational webinars.