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Explained! Systematic Options Strategies with David Sun - David Sun

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Manage episode 400121471 series 2516748
Treść dostarczona przez ReSolve Asset Management. Cała zawartość podcastów, w tym odcinki, grafika i opisy podcastów, jest przesyłana i udostępniana bezpośrednio przez ReSolve Asset Management lub jego partnera na platformie podcastów. Jeśli uważasz, że ktoś wykorzystuje Twoje dzieło chronione prawem autorskim bez Twojej zgody, możesz postępować zgodnie z procedurą opisaną tutaj https://pl.player.fm/legal.

In this discussion, the ReSolve team is joined by David Sun, a retail investor

turned hedge fund manager with a background in engineering. David shares his

journey from options trading during grad school to launching two private

options-based hedge funds. He discusses the intricacies of options trading, the

importance of risk management, and the evolution of his investment strategies.

Topics Discussed

•David Sun's background in engineering and his transition into options trading

and hedge fund management

•The launch of David's two private options-based hedge funds and the rationale

behind having two separate funds

•The importance of risk management in options trading and how David's strategies

have evolved to minimize volatility drag

•The concept of return stacking portfolios and how it has been applied in

David's funds

•The role of diversification in enhancing portfolio performance and reducing

risk

•The potential of long volatility strategies as a diversifier and how they can

be applied in retail investing

•The impact of market changes on strategy backtesting and the importance of

continuously updating strategies to reflect current market conditions

•David's views on the future of his funds and the potential for launching a

third fund

•David's public presence and his efforts to educate retail investors through his

podcast, The Trade Busters

David Sun provides a unique perspective on options trading and hedge fund management,

drawing from his background in engineering and his experiences as a retail

investor. His insights into risk management, portfolio diversification, and

strategy development offer valuable lessons for anyone interested in the

intricacies of options trading and hedge fund management. This episode is a

must-listen for those looking to deepen their understanding of these complex

financial landscapes.

This is “ReSolve Riffs” – published on Friday afternoons to debate the most relevant investment topics of the day, hosted by Adam Butler, Mike Philbrick and Rodrigo Gordillo of ReSolve Global* and Richard Laterman of ReSolve Asset Management.

*ReSolve Global refers to ReSolve Asset Management SEZC (Cayman) which is registered with the Commodity Futures Trading Commission as a commodity trading advisor and commodity pool operator. This registration is administered through the National Futures Association ("NFA"). Further, ReSolve Global is a registered person with the Cayman Islands Monetary Authority.

  continue reading

211 odcinków

Artwork
iconUdostępnij
 
Manage episode 400121471 series 2516748
Treść dostarczona przez ReSolve Asset Management. Cała zawartość podcastów, w tym odcinki, grafika i opisy podcastów, jest przesyłana i udostępniana bezpośrednio przez ReSolve Asset Management lub jego partnera na platformie podcastów. Jeśli uważasz, że ktoś wykorzystuje Twoje dzieło chronione prawem autorskim bez Twojej zgody, możesz postępować zgodnie z procedurą opisaną tutaj https://pl.player.fm/legal.

In this discussion, the ReSolve team is joined by David Sun, a retail investor

turned hedge fund manager with a background in engineering. David shares his

journey from options trading during grad school to launching two private

options-based hedge funds. He discusses the intricacies of options trading, the

importance of risk management, and the evolution of his investment strategies.

Topics Discussed

•David Sun's background in engineering and his transition into options trading

and hedge fund management

•The launch of David's two private options-based hedge funds and the rationale

behind having two separate funds

•The importance of risk management in options trading and how David's strategies

have evolved to minimize volatility drag

•The concept of return stacking portfolios and how it has been applied in

David's funds

•The role of diversification in enhancing portfolio performance and reducing

risk

•The potential of long volatility strategies as a diversifier and how they can

be applied in retail investing

•The impact of market changes on strategy backtesting and the importance of

continuously updating strategies to reflect current market conditions

•David's views on the future of his funds and the potential for launching a

third fund

•David's public presence and his efforts to educate retail investors through his

podcast, The Trade Busters

David Sun provides a unique perspective on options trading and hedge fund management,

drawing from his background in engineering and his experiences as a retail

investor. His insights into risk management, portfolio diversification, and

strategy development offer valuable lessons for anyone interested in the

intricacies of options trading and hedge fund management. This episode is a

must-listen for those looking to deepen their understanding of these complex

financial landscapes.

This is “ReSolve Riffs” – published on Friday afternoons to debate the most relevant investment topics of the day, hosted by Adam Butler, Mike Philbrick and Rodrigo Gordillo of ReSolve Global* and Richard Laterman of ReSolve Asset Management.

*ReSolve Global refers to ReSolve Asset Management SEZC (Cayman) which is registered with the Commodity Futures Trading Commission as a commodity trading advisor and commodity pool operator. This registration is administered through the National Futures Association ("NFA"). Further, ReSolve Global is a registered person with the Cayman Islands Monetary Authority.

  continue reading

211 odcinków

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