
About this episode
Welcome to a new trading series called "The Trading Panel", where I collaborate with Jason Perz from Against All Odds Research and a panel of traders to discuss the markets and all things trading. Participants on this weeks panel are:
- Andrew Swanscott
- Jason Perz
- Kashyap Sriram
- Pavel Kycek
- Kevin Green
Timestamps
[00:00] Introduction and Overview of Trading Topics
[06:37] Discussion on Personal Trading Experiences and Learning Curves
[12:21] Insights into Systematic vs. Discretionary Trading
[15:43] The Role of Market Cycles in Trading Profitability
[17:33] Exploring the Impact of Rate Decisions on Trading Strategies
[23:54] Debunking Common Trading Myths and Strategies
[25:07] Discussion on Options and Volatility Trading
[28:27] Carry Trades and Their Potential Risks
[30:42] Unforeseen Market Events and Their Impact on Trading
[33:17] The Swiss Franc Event: A Case Study
[36:30] Exploring Premium Scalping and Its Risks
[39:25] The Yen-U.S. Dollar Carry Trade Discussion
[42:12] Institutional Strategies and Risk Management Techniques
[43:28] Policy Changes in Trading Instruments: USO ETF Case
[46:27] Futures Contracts: Managing Expiry and Liquidity Risks
[49:24] Liquidity and Risk Management in Trading
[53:42] The Negative Oil Price Event: An Anecdote
[54:54] Closing Remarks and Contact Information of Panelists
[56:05] Final Thoughts and Upcoming Episode Teaser
Disclaimer:
Trading in the financial markets involves a substantial risk of loss. All content produced by Better System Trader is for informational or educational purposes only and does not constitute trading or investment advice.
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