Michael Purves, chief global strategist at Weeden & Co., revisits his short utilities trade from last month and highlights the current dichotomy between bonds and the stock market. He takes a deep dive into both the bullish and bearish arguments for Treasuries and the S&P 500, points out why shorting volatility make sense right now, and considers a specific put option on the VIX to make the trade, in this interview with Justine Underhill. Filmed on June 12, 2019
Top traders unveil their specific plans for cashing in on the market's next move. In these short videos, our traders cut straight to the point and lay out their thoughts on the best risk-reward trades of the moment. Each episode concludes with a visual recap of trade details including profit-loss potential and trade duration.
Top traders unveil their specific plans for cashing in on the market's next move. In these short videos, our traders cut straight to the point and lay out their thoughts on the best risk-reward trades of the moment. Each episode concludes with a visual recap of trade details including profit-loss potential and trade duration.
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