Shorting the Market
Large dividends were being paid out despite the inevitable downturn, leading to a strategic pivot towards credit default swaps. One trader shares insights on their early adoption of a trade that mirrored the pioneering strategies of another notable figure. The team balanced their portfolio with a mix of long and short positions, emphasizing the importance of understanding credit fundamentals in a volatile market.In this clip
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Invest Like the Best
Danny Moses - The Big Short and Beyond - [Invest Like the Best, EP.34]
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