Rivas evaluates the Orion Fund, a convertible bond strategy. Orion’s OM provides various examples of trades that its manager uses to generate alpha. Rivas reviews one of the many strategies Orion’s manager uses frequently, because he believes this is the best way to understand the fund’s investment style. The OM provides the data in Exhibit 1 from a trade the manager recently entered into.
Q. Based on the data in Exhibit 1, what strategy is the Orion portfolio manager most likely implementing?
- Taking advantage of option mispricing
- Profiting from extreme market volatility
- Going long a put on the equity net of hedging
Answer is A. 可以解释一下答案吗?