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Lead report
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Lead report
Gold Hits Record High, Options Market Signals Rising Pullback Risk as Implied Volatility and Put/Call Ratio Climb
After gold prices reached a historic peak, the options market shows rising implied volatility and a higher put/call ratio, with institutions hedging against pullback risk through put options and collar strategies, suggesting increased short-term volatility.
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Gold's High-Altitude Volatility: Options Hedging Strategies Become Institutional Favorite as Volatility Trading Takes Center Stage
As gold futures volatility surges, institutional investors are increasingly turning to options to manage price risk. Strategies like collars and volatility selling gain traction, signaling a shift from options as auxiliary tools to core components of risk management.

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Gold Options Volatility Surges: Fed Rate Cut Bets and Geopolitical Risks Drive Hedging Strategy Shift
Gold options implied volatility spikes as markets price in Fed policy pivot and geopolitical tensions, prompting investors to adopt straddle and collar strategies.
