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We met with Mr. Dave Zurkowski, a seasoned trader turned risk management professional with nearly two decades of experience to discuss navigating market volatility, managing risk during tail events, and fundamental truths about the market. Dave Zurkowski, currently based in Chicago, works at a risk management company called KRM22. Before KRM22, he worked for five years at O'Connor and Associates, an options trading company at the Chicago Board of Trade and the CBOE, which Swiss Bank later bought. His career also includes time at Nations Bank (which became Bank of America), Stafford Trading (which became Ronin Capital), Williams Energy (an energy and pipeline company in Tulsa, Oklahoma), and Richie Capital. Tags: Risk Management, Tail Risk, Financial Markets, Trading Strategy, Options Trading, Futures Trading, Natural Gas Trading, Crude Oil Trading, Market Volatility, Wall Street, Financial Crisis, 2008 Crisis, Long-Term Capital Crisis, Financial Risk, Quantitative Risk, Non-Quantitative Risk, Geopolitical Risk, Market Modeling, VaR, Vega, Greeks, Hedging, Stop Loss, Trading Psychology, Financial Advice, Trader Interview, Dave Zurkowski, KRM22, Chicago Board of Trade, CBOE, Market Blowup, Algorithmic Trading, Human Error, Resilience, Stock Market, Investment Strategy