
131: What strategies work best in low volatility environments?
About this episode
I've just arrived back home from a few weeks in the States, I had a great time there but it's also good to be home.
I'm a bit jet-lagged today so let's hope what I share today actually makes sense!
A few weeks ago I had the honour of speaking at the ATAA members meeting here in Melbourne.
I presented for about an hour and the topic of my presentation was '7 practical tips to reducing drawdown'.
In this weeks Trading Thought I want to share a quick story from that and how it applies to Mean Reversion in low volatility environments.
In part 1 of the Mean Reversion series, Cesar made a statement about Mean Reversion strategies not performing so well in low-volatility market regimes, and I received a number of emails asking what type of strategies DO work in low volatility environments, so...
In this week's Trading Thought I want to share a quick little sneak-peek into the next Mean Reversion episode with Cesar, due for release in a few weeks, where he answers this question, plus much more.
It's only short, but let's take a listen to Cesar sharing what he's found to work in low-volatility market regimes.
Disclaimer:
Trading in the financial markets involves a substantial risk of loss and is not suitable for everyone. All content produced by Better System Trader is for informational or educational purposes only and does not constitute trading or investment advice. Past performance is not necessarily indicative of future results.
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