If I look at WMT for example, their beta is .5 but there 1M ATM vol is higher then the SPX. I understand that there is company risk which is why the vol is higher. But it seems to me I would rather be short a basket of low Beta stocks and long the SPX vol. Could you elaborate on why I would do it the opposite? (short SPX, long equity).
hahaha thats insane!! why didnt you just suck oanda dry?!!!!
I posted about it after they killed their mkts by quoting vol at 5x50%. Mkts so wide that the arb was gone. Shortly thereafter they took them off the front-end citing regulatory, which was bunk. Regulatory had recently loosened.