Marketing communication
This is a marketing communication relating to a strategy implemented through funds. When these funds are registered in your jurisdiction, please refer to the fund's prospectus and KIID before making any final investment decision.

  

Volatility Risk Premium
strategy positioning

Published on October, 10th 2022   Products  
Volatility Investing
LinkedIn

Simon ANINAT

Portfolio Manager

Volatility Investing by Seeyond series

   

New addition to the "Volatility Investing by Seeyond" series: Simon Aninat, Volatility expert and portfolio manager at Seeyond, explains the positioning for the Volatility Risk Premium strategy.

      

This interview took place on September, 2nd 2022.

Main risks of the strategies: capital loss risk, volatility-linked risk, risk related to the underlying asset, model-based risk


This article has been provided for information purposes only to professional clients as defined in the MiFID Directive. It must not be used for retail investors. The provision of this material or reference to specific sectors or markets in his article does not constitute investment advice or a recommendation or an offer to buy or sell any security. Investors should consider the investment objectives, risks, and expenses of any investment carefully before investing. Views expressed in this article as of the date indicated are subject to change and there can be no assurance that developments will transpire as may be forecasted in this article.

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