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Konten disediakan oleh ReSolve Asset Management. Semua konten podcast termasuk episode, grafik, dan deskripsi podcast diunggah dan disediakan langsung oleh ReSolve Asset Management atau mitra platform podcast mereka. Jika Anda yakin seseorang menggunakan karya berhak cipta Anda tanpa izin, Anda dapat mengikuti proses yang diuraikan di sini https://id.player.fm/legal.
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Secrets of Investment Success: Lessons From 5 Decades of Quant Macro

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Manage episode 386389375 series 2516748
Konten disediakan oleh ReSolve Asset Management. Semua konten podcast termasuk episode, grafik, dan deskripsi podcast diunggah dan disediakan langsung oleh ReSolve Asset Management atau mitra platform podcast mereka. Jika Anda yakin seseorang menggunakan karya berhak cipta Anda tanpa izin, Anda dapat mengikuti proses yang diuraikan di sini https://id.player.fm/legal.

In this conversation, the ReSolve team is joined by Joe Kelly from Campbell and Company to delve into the world of quantitative investing, managed futures, and derivatives trading. They explore a wide range of topics, including:

Topics Discussed

• The history and evolution of the hedge fund industry and the growth of systematic investing

• The role of derivatives traders in providing liquidity to executives and the creation of a startup to provide liquidity for tech employees

• The dynamics of quantitative investing, the importance of systemizing fundamental ideas, and the challenges of explaining complex financial concepts to a non-technical audience

• The development and implementation of different models and strategies in quantitative investing, including momentum, quant macro, and short-term

• The performance of different strategies during various market conditions and the importance of adaptability

• The challenges of scaling in the systematic investing space and the advantages of focusing on a core universe of markets

• The trade-off between diversification and control in portfolio construction

• The importance of risk management in maintaining a consistent investor experience and the strategies used to manage risk in systematic investing

Conclusion


This conversation is a must-listen for anyone interested in quantitative investing, managed futures, and derivatives trading. It provides valuable insights into the intricacies of these fields, the strategies used by successful investors, and the importance of risk management in ensuring a consistent investor experience.

  continue reading

216 episode

Artwork
iconBagikan
 
Manage episode 386389375 series 2516748
Konten disediakan oleh ReSolve Asset Management. Semua konten podcast termasuk episode, grafik, dan deskripsi podcast diunggah dan disediakan langsung oleh ReSolve Asset Management atau mitra platform podcast mereka. Jika Anda yakin seseorang menggunakan karya berhak cipta Anda tanpa izin, Anda dapat mengikuti proses yang diuraikan di sini https://id.player.fm/legal.

In this conversation, the ReSolve team is joined by Joe Kelly from Campbell and Company to delve into the world of quantitative investing, managed futures, and derivatives trading. They explore a wide range of topics, including:

Topics Discussed

• The history and evolution of the hedge fund industry and the growth of systematic investing

• The role of derivatives traders in providing liquidity to executives and the creation of a startup to provide liquidity for tech employees

• The dynamics of quantitative investing, the importance of systemizing fundamental ideas, and the challenges of explaining complex financial concepts to a non-technical audience

• The development and implementation of different models and strategies in quantitative investing, including momentum, quant macro, and short-term

• The performance of different strategies during various market conditions and the importance of adaptability

• The challenges of scaling in the systematic investing space and the advantages of focusing on a core universe of markets

• The trade-off between diversification and control in portfolio construction

• The importance of risk management in maintaining a consistent investor experience and the strategies used to manage risk in systematic investing

Conclusion


This conversation is a must-listen for anyone interested in quantitative investing, managed futures, and derivatives trading. It provides valuable insights into the intricacies of these fields, the strategies used by successful investors, and the importance of risk management in ensuring a consistent investor experience.

  continue reading

216 episode

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