
Here’s What’s Happening With Those Korean Structured Notes That Bet Against Market Volatility
Odd Lots
00:00
Shifting Risk in Financial Markets
This chapter explores the transfer of risk from banks to the buy side, examining the resilience of banks compared to the struggles of hedge funds amid recent market volatility. It highlights the impacts of the coronavirus on financial stability and discusses the balance regulators must maintain between controlling systemic risk and fostering market function. The conversation raises concerns over over-leveraged assets and potential future distress in private markets, questioning the implications of potential regulatory rollbacks on financial stability.
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