Continuing our countdown to Christmas, Eric Hermitte puts the case for adding a long volatility exposure to a portfolio - both as a diversifier and a potential 'shock-absorber'.
Volatility is well known as a measure of an asset's variability. It describes how (un)stable an asset is. When talking about volatility, however, it is essential to differentiate between realised and implied...
Partner Insight: Continuing the Architas education series for clients.
What made financial headlines over the weekend?
290,000 already affected
Putting the tech into protection
Square Mile’s series of informal interviews