About the Author
Marco Erling works as portfolio manager and quantitative analyst for structured products with HSBC Global Asset Management. He studied mathematics at the University of Dortmund in Germany and earned an MBA from ESADE Business School in Barcelona. He is a CFA Charter holder and a Certified FRM holder. Email him at marco.erling@hsbc.de.How to trade ETF volatility
By Marco Erling | November 27, 2012
Making equity index volatility work for you
By Marco Erling, Joerg Zimmermann | November 1, 2010
Dividend options and futures
By Marco Erling | May 1, 2011
Stock market trends and the volatility premium
By Marco Erling | November 1, 2011