Excess Returns
The Retail Rally Trap | Kris Sidial on Market Fragility and the Risks of Buy the Dip
06 May 2025
In this episode, Kris Sidial joins Jack Forehand and Brent Kochuba to break down the mechanics of tail risk hedging, why most volatility strategies fail, and how his team approaches dislocations in the market. We explore what's really driving volatility behind the scenes, the evolving market structure, and why the current environment may be far more precarious than it appears. If you’ve ever wondered how professional vol traders monetize chaos—or why volatility can stick around far longer than people expect—this episode is for you.Topics Covered:What tail risk funds are and why many of them underperformHow to build a long volatility strategy that doesn’t bleed capitalWhy rebalancing is a critical component of portfolio resilienceLiquidity fragility and how it amplifies market movesRetail's role in the latest rally and the fading institutional bidStructural risks created by passive flows and policy shiftsMonetizing volatility spikesThe psychological traps that lead to poor volatility trading decisionsWhy volatility might stay elevated for far longer than most expect
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3ª PARTE | 17 DIC 2025 | EL PARTIDAZO DE COPE
01 Jan 1970
El Partidazo de COPE
13:00H | 21 DIC 2025 | Fin de Semana
01 Jan 1970
Fin de Semana
12:00H | 21 DIC 2025 | Fin de Semana
01 Jan 1970
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10:00H | 21 DIC 2025 | Fin de Semana
01 Jan 1970
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13:00H | 20 DIC 2025 | Fin de Semana
01 Jan 1970
Fin de Semana
12:00H | 20 DIC 2025 | Fin de Semana
01 Jan 1970
Fin de Semana