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Volatility Views 33: The Art of Managing Volatility
Volatility Views
English - December 12, 2011 20:27 - 51 minutes - 47 MB - ★★★★ - 15 ratingsInvesting Business option options vix insider skew trading volatility volcontracts volx Homepage Download Apple Podcasts Google Podcasts Overcast Castro Pocket Casts RSS feed
Previous Episode: Volatility Views 32: Larry the Legend
Next Episode: Volatility Views 34: A Break from the Insanity
Volatility Views 33: The Art of Managing Volatility
Volatility Review: VIX has been up and down around the 30-handle, but now it is time for it to begin to settle at a more normal level. Friday was quarterly expiration day in the Euro VoContract futures, with the front one-month and the December three-month going out.
Volatility Viewpoint: Today's guest, Chris Cole, Managing Director at Artimus Capital Management, sits down to discuss VIX options and futures, volatility doldrums, and the trading approach at Artimus.
Crystal Ball: VIX is a coin flip with regard to both the long-term and short-term mean. The gang looks at the January one-month and March quarterly Euro VolContracts and their implied volatilities versus potential realized vol.