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鹏鹏 · 2023年12月13日

g股票和波动率是反向关系 这个怎么理解啊

NO.PZ2022062601000026

问题如下:

Company H has shifted to a hedge fund strategy that focuses specifically on volatility trading. Add this fund (Fund A) to the investor's investment portfolio in an effort to hedge long equity positions. Fund A typically implement the following three types of transactions in their strategies:

  • Trade 1: Sell exchange-traded and over-the-counter equity call options on a market index.
  • Trade 2: Sell VIX futures to capture the volatility premium and roll-down payoff.
  • Trade 3: Purchase a receiver volatility swap with an at-inception fair value of zero.
Which transactions are most likely to achieve the goals set by Company H as a reason for considering this strategy?

选项:

A.

Trade 1

B.

Trade 2

C.

Trade 3

解释:

C is correct. There is a negative correlation between equities and volatility. A long volatility positions are necessary to hedge equity exposure in investment portfolios. Trade 1 is a short volatility position and will not hedge against equity positions as it requires a long volatility position. Trade 2 is also a short position in volatility; Its purpose is to charge a premium for selling volatility. This type of transaction will be carried out simultaneously with the equity sell-off, providing hedging. Trade 3 is a direct purchase of volatility through swaps, providing a pure long exposure and hedging the existing equity exposure in the portfolio.

A is incorrect. A short volatility position will not hedge the equity position since a long volatility position is needed.

B is not correct. Trading 2 is a short position in volatility; Its purpose is to charge a premium for selling volatility. This type of transaction will be sold simultaneously with the stock sell-off, therefore no hedging is provided.

知识点考察:volatility trading

从题干看出其目的是要对冲做多股票的风险敞口,而股票和波动率成反向关系,所以应该做多波动率来达到题干的目的。而trade1 2 3中只有trade 3是做多波动率的。所以选项trade 3


g股票和波动率是反向关系 这个怎么理解啊

1 个答案

伯恩_品职助教 · 2023年12月14日

嗨,努力学习的PZer你好:


意思是说,当股票下跌的时候,波动率会上升(大概是因为投资者会很紧张,交易频繁,导致波动率上升)。如果股票上涨,波动率会下降,(大概因为持有的股票是上涨的,投资者愿意继续持有),原因我只是解释个大概,具体原因没有一个经济学家能完全解析清楚。但是观察的结果确实是这样的。比如美股大跌的时候,代表波动率的VIX衍生品期货指数就会大涨(VIX大涨就是波动率大涨),美股大涨的时候,VIX就跌了

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