Stimulus, Sectors and Stock Markets

Volatility is a measure of fear and uncertainty. Typically, as tastytrade, we tend to short volatility in the hopes that it reverts to more normal levels. But when volatility remains high -- as it has in the past 6 weeks, how does that impact our trades and our future outlook? In this segment of Truth or Skepticism, Tom Sosnoff and Dylan Ratigan talk about the "biological risk, price risk, and government risk" associated with COVID-19 and its impact on markets. Tune in as they try to answer the following: What are the risks of "complete collapse?" Are there any commodities or sectors that are more attractive for long-term plays? How should the world respond in the next 6-8 weeks?

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