The price, interest rate, and volatility data analyzed in this work show that financial and economic crises regularly cause significant losses of wealth and, due to high price fluctuations, generate uncertainty and concerns about the future among many market participants. This work demonstrates that there are suitable derivatives trading strategies with which modern portfolio management can successfully meet these challenges.

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Introduction

  • Stefan Meyer

摘要

The price, interest rate, and volatility data analyzed in this work show that financial and economic crises regularly cause significant losses of wealth and, due to high price fluctuations, generate uncertainty and concerns about the future among many market participants. This work demonstrates that there are suitable derivatives trading strategies with which modern portfolio management can successfully meet these challenges.