Episode
162. Global Experiences In Volatility Management, Lessons For Iran's Market
Podcast Karisma
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2025-10-09
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1 Followers
Episode 162 examines international best practices in managing market volatility and their application to Iran's capital markets. Portfolio manager Salman Yazdani discusses derivative instruments, risk mitigation strategies, and regulatory approaches used globally. Learn how Read more…Episode 162 examines international best practices in managing market volatility and their application to Iran's capital markets. Portfolio manager Salman Yazdani discusses derivative instruments, risk mitigation strategies, and regulatory approaches used globally. Learn how developed markets maintain stability while supporting efficient price discovery and investor confidence. Close