
Episode #32
Macro & Volatility™ #32: De-Grossing, Momentum Shifts, and the VIX: Not Coincidences
This is a different type of de-leveraging Higher equity correlation ≠ VIX explosion Geopolitical and oil risks are for real

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Business
Hosted by Unknown Host · Business · EN · 33 episodes
Josh Silva of Passaic Partners and Michael Purves of Tallbacken Capital discuss the world of investing through the lens of cross-asset and derivative frameworks. The information, opinions and views expressed on this podcast are for informational purposes only and are not intended as investment advice. The opinions expressed may not align with Passaic Partners' views or its client strategies. Market forecasts are speculative and should not be the sole basis for investment decisions. Consult your financial and tax advisors before making any investments.
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Signup to Generate a PitchMacro & Volatility™ is a business podcast hosted by Unknown Host, with 33 episodes on record and a Required Pod Score of 81. PitchCentric scores this show on Booking Probability, Listen Score, and live audience signals refreshed every 24 hours.
Unknown Host hosts Macro & Volatility™, a business show with 33 episodes published.
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Episode #32
This is a different type of de-leveraging Higher equity correlation ≠ VIX explosion Geopolitical and oil risks are for real

Episode #31
Equity rally is broad, earnings-driven, and still not stretchedMarkets can tolerate higher rates until speed becomes the riskAI capex is creating a sustained, structural inflation floor

Episode #30
Equity rally is fundamentally earnings-driven, not war “denial”Excessive hedging mispriced the upsideBonds are selling off because inflation is shifting from short-term to structural

Episode #29
Convexity conundrum: diversifying assets didn’t workCommodities are not tariffs and cannot be altered at the stroke of a penTape bombs are having diminishing impact

Episode #28
More about rotation than directionBonds are still not protectingImplied correlation / VIX is at a record low
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