Lower Volatility and Higher Yield with Options (Take 15 Series)

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CFA Institute Take 15 Series
Source: CFA Institute

11 min, video podcast, recorded on 22 July 2011

Matthew T. Moran is vice president of business development for the Chicago Board Options Exchange (CBOE). Previously, he was trust counsel at Harris Bank and vice president at Chicago Mercantile Exchange. Mr. Moran has a leadership role in business development for the CBOE S&P 500 BuyWrite Index (BXM), the CBOE S&P 500 PutWrite Index (PUT), and options on the CBOE Volatility Index (VIX). He is an associate editor of the Journal of Trading and is on the advisory boards of the Chartered Alternative Investments Analyst Association and Journal of Indexes. Mr. Moran holds JD and MBA degrees from the University of Illinois.  

This information is accurate as of the date of recording.

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Summary

Matthew T. Moran discusses using options and futures to manage risk and improve income.

The Take 15 Series is a series of short interviews with leading practitioners on timely topics focused on the investment profession.

Topics
Derivatives
    :
  • Options Markets and Instruments
|
Portfolio Management
    :
  • Asset Allocation
|
Quantitative Methods
Credits · About the CE Program
0.5 CE (including 0 SER) Manage CE Credits

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