Manage episode 514564203 series 3633667
In this episode we speak with Danny Kirsch, head of Piper Sandler's Options trading desk, about the recent market volatility and its implications. The discussion covers the spike in VIX and its impact on options trading, the state of regional banks following their earnings, and the effects of potential US-China trade agreements. Danny also provides insights into the differences between current market dynamics and those of the late 1990s, the influence of seasonality on market performance, and expectations about upcoming economic data releases. Throughout the conversation, Danny emphasizes the importance of understanding whether market risks are idiosyncratic or systemic.
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