Weekly: Market Reacts To Brexit | Long Vol Manager Perspectives | European Divs In Focus
Jul 1, 2016
With portfolio managers increasingly unwinding hedges in Europe over the week, short-term and long-term volatility has largely been subdued as spot in the FTSE 100 and the Eurostoxx 50 has continued to recover. In EQDerivatives’ coverage of the last five business days, we report on the views of Artemis’ Christopher Cole and 36 South’s Jerry Haworth following Brexit and the potential risks going forward. We also look at VIX ETP inflows, how short vol funds are positioning in the U.S. and why dividends in Europe are finding favour among portfolio managers.
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