Webinar

Equity: Trading & Hedging Volatility – Option Strategies for the Equity Market

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Join us for a comprehensive webinar series designed to equip traders and risk managers with the essential knowledge and tools to understand, trade and manage volatility risk across asset classes, with a dedicated focus on equity and rates markets.

The second session will cover the fundamentals of volatility trading with a focus on equity derivatives. It is designed especially for equity traders and structured product professionals, offering practical insight into how volatility behaves and how to manage the associated risks.

Key topics include:

Options Types: American vs European vs Bermudan options

Options Strategies: {OVI} and {OSCH} → Straddles, Strangles, Buy Write, Calendar Spreads, Iron Condors

Options Monitors: {OMON}, {OMST} and {OPX}

Options Pricer: {OVME}

Exotic Strategies: Autocallables, Phoenix, etc

Speakers

Filippo Ginanni

Derivatives Market Specialist

Bloomberg

In January 2023, Filippo joined Bloomberg as Equity Derivatives, Structured Products, and Digital Assets Market Specialist. Filippo aims to create a long-lasting partnership with clients by developing products tailored to their needs. Prior to Bloomberg and for over 20 years, he has been structuring, trading, and selling derivatives across asset classes (Equities, Credit, and Interest Rates), from different institutions (Mediobanca, Deutsche Bank, Bear Stearns, and Lehman Brothers) to the most diverse client base (Institutional, Retail and everything in the between). Filippo holds a Master of Arts in Economics from Stanford University.

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