Economic & Market Outlook Series
US Equities Market Outlook
In this seminar, Mr Russell Rhoads will share his observations on market volatility, where the US Equities market may be heading and how to manage your downside risks.
- General perspective of where we are and where we may be heading
- What SPX and VIX charts are telling us about the market
- How to navigate the changing market environment and manage your volatility exposure
Mr Russell Rhoads, CFA, was Director, Product Advancement, Global Derivatives at Cboe Global Markets. His career before joining Cboe included positions at a variety of firms including Highland Capital Management, Caldwell & Orkin Investment Counsel, Balyasny Asset Management, and Millennium Management. He is a financial author and editor having contributed to multiple magazines and edited several books for Wiley publishing. He is the author of six market related books including Trading VIX Derivatives, Option Spread Trading, Trading Weekly Options, and Options Strategies for Advisors and Institutions. He authored material to be included in Level II of the CFA program and material for the CMT designation. In addition to his duties at Cboe, he is an adjunct instructor at Loyola University. He is a double graduate of the University of Memphis with a BBA ('92) and an MS ('94) in Finance and also received a Master's Certificate in Financial Engineering from the Illinois Tech in 2003. Russell is currently pursuing a PhD from Oklahoma State University with an expected graduation date in the Summer of 2018.
Date & Time
Thursday, 24 May 2018 (12:20PM - 1:20PM)
HKSI Institute Training Centre