Curated News
By: NewsRamp Editorial Staff
November 04, 2025
Master Year-End Market Volatility with Leveraged ETF Strategies
TLDR
- Direxion's webinar offers strategies to gain a tactical edge in volatile Q4 markets using leveraged ETFs for amplified returns and risk management.
- The webinar explains how Direxion's leveraged and inverse ETFs work to trade momentum, hedge risk, and implement sector rotation strategies.
- This free educational session helps investors navigate market uncertainty with greater clarity and control for more secure financial futures.
- Learn how volatility creates unique trading opportunities from industry experts Gianni Di Poce and Eliott Wellenbach in this timely webinar.
Impact - Why it Matters
This webinar addresses critical needs for traders and investors navigating the volatile final quarter of 2025, providing essential strategies for risk management and opportunity capture during a period of significant market uncertainty. As markets face macro challenges and sector rotations, the insights from experienced professionals at Direxion and The Mercator LLC offer practical tools for both protecting portfolios and pursuing tactical gains. Given the amplified risks and opportunities in leveraged ETF trading, this education becomes particularly valuable for active market participants seeking to optimize their year-end performance while managing exposure to market swings that typically intensify during the final months of the trading year.
Summary
As financial markets approach the final quarter of 2025, traders and investors face significant challenges including macro uncertainty, sector rotation, and elevated volatility. In response to these market conditions, Benzinga is hosting a timely webinar titled "Volatility, Momentum, and the Endgame: Leveraged ETF Strategies for Q4 and Beyond" on Thursday, November 6, 2025, at 11:00 AM EST. The free virtual event features two prominent financial experts: Gianni Di Poce, Analyst at The Mercator LLC, and Eliott Wellenbach, Senior Vice President of Institutional ETF Strategy, who will guide participants through advanced trading strategies using Direxion's leveraged and inverse ETFs to navigate the complex year-end market landscape.
The webinar promises to deliver practical insights across multiple critical areas, including how volatility is reshaping short-term opportunities and strategies for using leveraged ETFs in both trending and range-bound markets. Participants will learn about specific sector and single-stock setups to monitor as the year concludes, along with essential risk management and trade timing best practices to optimize performance. The session aims to provide traders with a comprehensive roadmap to close out 2025 with greater clarity and control, whether they're seeking to hedge against risk or amplify their market convictions during this period of heightened uncertainty.
This educational opportunity represents a valuable resource for active traders looking to enhance their tactical approach to year-end market movements. The event is free to attend through registration on the Benzinga platform, and the original release can be viewed on www.newmediawire.com, providing additional context about this important financial education initiative. The webinar's focus on practical, actionable strategies makes it particularly relevant for traders navigating the complex interplay of volatility and momentum in the current market environment.
Source Statement
This curated news summary relied on content disributed by NewMediaWire. Read the original source here, Master Year-End Market Volatility with Leveraged ETF Strategies
