logo
episode-header-image
Dec 2024
23m 10s

Bitcoin, Price / Vol Spirals and MSTR

Dean Curnutt
About this episode

What follows are some of my recent thoughts on a favorite topic: the interaction between option prices and the assets upon which these options are written. Specifically, I share thoughts on price / vol spirals, which come in two flavors:  a) the asset plummets and vol explodes  b) the asset surges and vol explodes. In the first, which we might call "Melt Down", the asset nears a bankruptcy cliff as vol surges. See GFC.

In "Melt Up", there's typically some version of a short squeeze involved. Everyone’s trying to get their hands on the same thing all at once. And that brings us to MSTR, the bitcoin buying engine run by Michael Saylor. There are some important considerations for evaluating risk in MSTR, driven by the fascinating interaction between the stock and both the leverage ETFs and options that sit alongside it. Especially given the unique empirical and implied distribution of bitcoin, these products create powerful powerful feedback loops that ought to be understood.

I hope you find this discussion interesting and useful.

Up next
Oct 1
Low Correlation is the Defining Risk in Markets
They say that diversification is the only “free lunch” in markets. Scatter your bets around and you’ll realize a reduction in volatility that helps you manage risk. That’s been happening at an epic scale in US equity markets: the 1m correlation among stocks in the S&P 500 is (to ... Show More
25m 9s
Sep 19
David Puritz, Founder and Chief Investment Officer, Shaolin Capital Management
It was a pleasure to welcome David Puritz back to the Alpha Exchange. A colleague of mine from 25 years ago and now the CIO of Shaolin Capital Management, Dave has some excellent insights to share on uncorrelated investing broadly and on the current state of convertible bond trad ... Show More
57m 3s
Sep 15
RoR: Reflections on Risk
In this discussion, I share my thoughts on the backdrop for both SPX realized and implied volatility, as I explore the question of whether there is value in optionality. We have 3 things going in terms of realized vol at the index level. It’s low, it’s especially low on SPX down ... Show More
31m 45s
Recommended Episodes
Aug 8
Market Volatility: Investors Are Seeking Safety in Gold ETFs. Is It Working?
Investors are piling into global gold ETFs for a safe haven from uncertainty. Demand surged in the first half of 2025, according to a new report from the World Gold Council. The industry trade group points to geopolitical turmoil, global trade policies, and higher gold prices for ... Show More
12m 25s
Sep 29
Equities rebound and gold reaches another all-time high
Markets faced a turbulent week, starting with caution amid hawkish Fed commentary and trade tensions, but ending on a more optimistic note thanks to a solid US inflation report. Global equities rebounded on Friday, though US equities still closed the week in negative territory. I ... Show More
10m 17s
Feb 2024
Gold struggles as solid US data propel dollar higher
Gold edges lower, dollar shines after another round of rosy US data. Australian dollar recovers on RBA decision and China stimulus hopes. Shares on Wall Street lose momentum, but remain near record highs. Risk Warning: Our services involve a significant risk and can result in the ... Show More
3m 44s
Oct 7
Gold vs. Bitcoin: Which is the real safe bet?
Gold (GC=F) fever is back, and it’s changing the rules of the 2025 market rally. In this episode of Stocks in Translation, On Course Consulting CEO Michaella Gallina joins host Jared Blikre and Senior Reporter Allie Canal to discuss the latest on Wall Street, specifically the gol ... Show More
23m 58s
Sep 2024
Dollar sinks, gold surges as 50bps Fed cut back in the picture
Soft US PPI and reports of Fed dilemma revive bets of 50bps cut. Dollar plunges as yields fall, pushing gold to new all-time high. Euro climbs as ECB trims rates but does not signal October cut. Risk Warning: Our services involve a significant risk and can result in the loss of y ... Show More
3m 53s
Aug 2024
Jerome Powell ignites risk assets – next up: Nvidia results
Risk assets ended the week on a strong note after Jerome Powell made it almost certain that interest rates will be cut next month. This led to a further fall in the USD and gold closing above USD 2500 an ounce for the second week in a row. Oil prices rose on rising tensions in th ... Show More
11m 27s
Sep 3
Long term yields spike on fiscal concerns – stocks dive and gold rallies
Global long-term government bond yields spike amid renewed concerns over fiscal sustainability. This has put pressure on equities, which declined broadly – though certain sectors held up better, including luxury stocks. In the US, both major indices ended the session lower, thoug ... Show More
12m 41s
Mar 2025
Mood improves as equities rebound but gold and dollar stay bid
Send us a textTariff chaos pushes gold above $3,000, dollar advances too. But some easing in risk-off mood after US government shutdown averted. US futures turn higher, Chinese stocks rally on consumption stimulus. Euro drifts lower amid US-EU tariff battle and German debt brake ... Show More
4m 11s
Aug 2024
Sentiment improves after drop in US jobless claims
US dollar gains as data ease further recession concerns. Aussie benefits the most, also helped by RBA’s Bullock. Wall Street rebounds, oil and gold gain as well. Risk Warning: Our services involve a significant risk and can result in the loss of your invested capital. *T&Cs apply ... Show More
3m 36s
Oct 2024
Gold, Bonds and All That Jazz with Lauren Goodwin
Guy Adami and Danny Moses are joined by Lauren Goodwin, Chief Market Strategist at New York Life Investments, for an in-depth discussion on current market dynamics and the broader economic landscape. The conversation covers a range of topics including Lauren's background in econo ... Show More
52m 21s