Ranked #1
Pioneering Longevity with Cliff Asness
Pioneering Longevity with Cliff Asness
Cliff Asness, Managing Principal and CIO at AQR Capital Management, joins the CME Group hedge fund podcast series with h... Read more
27 Apr 2015
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16mins
Ranked #2
Carry and Trend in Lots of Places
Carry and Trend in Lots of Places
Vineer Bhansali, Managing Director and Portfolio Manager PIMCO’s Quantitative Investment Group, discusses two fundamenta... Read more
27 Apr 2015
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30mins
Ranked #3
The Value of Liquidity in Constructing Hedge Fund Portfolios
The Value of Liquidity in Constructing Hedge Fund Portfolios
Ranjan Bhaduri, PhD, CFA, CAIA, Chief Research Officer, Sigma Analysis and Management, talks about the mathematics of li... Read more
25 Nov 2014
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8mins
Ranked #4
Global Energy Markets
Global Energy Markets
Todd J.Gross, CIO of QERI LLC -- Quantitative Energy and Research Investments -- discusses global energy markets and the... Read more
25 Aug 2014
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12mins
Ranked #5
Models and Markets
Models and Markets
Anthony Kaiser - Kaiser Trading Group, talks about research, building models, market conditions, and looking forward.
25 Aug 2014
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8mins
Ranked #6
Strategy and Style Diversity in the Managed Futures Industry
Strategy and Style Diversity in the Managed Futures Industry
Ranjan Bhaduri, PhD, CFA, CAIA, Chief Research Officer, Sigma Analysis and Management, discusses the evolution of the ma... Read more
25 Nov 2014
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8mins
Ranked #7
Structural Alpha, Part 2
Structural Alpha, Part 2
Ranjan Bhaduri, PhD, CFA, CAIA, Chief Research Officer, Sigma Analysis and Management, discusses structuring access to h... Read more
25 Nov 2014
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11mins
Ranked #8
Chris Solarz: Offers an institutional investor perspective on interest rates, performance, and tail risk.
Chris Solarz: Offers an institutional investor perspective on interest rates, performance, and tail risk.
Chris Solarz, Managing Director at Cliffwater LLC, offers an institutional investor perspective on the performance of CT... Read more
25 Apr 2014
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15mins
Ranked #9
A Conversation about risk between two scientists-turned-risk managers
A Conversation about risk between two scientists-turned-risk managers
The heads of risk at a major foundation and at the largest derivatives exchange in the world discuss the risk ecosystem ... Read more
23 Apr 2014
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41mins
Ranked #10
Macro and Managed Futures Strategies
Macro and Managed Futures Strategies
Ela Karahasanoglu, Senior Pension Consultant & Alternative Asset Class Specialist at Mercer, discusses common featur... Read more
25 Aug 2014
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19mins
Ranked #11
Tail Risk Management
Tail Risk Management
Ela Karahasanoglu, Senior Pension Consultant & Alternative Asset Class Specialist at Mercer, highlights ways of dive... Read more
25 Aug 2014
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19mins
Ranked #12
Strategy and Market Diversity in the Managed Futures Industry
Strategy and Market Diversity in the Managed Futures Industry
Jeffrey Eizenberg discusses the wide range of trading approaches employed in the industry.
25 Aug 2014
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14mins
Ranked #13
Structural Alpha
Structural Alpha
Ranjan Bhaduri, Sigma Analysis and Management, offers a structural approach to accessing hedge funds and adding incremen... Read more
30 Jun 2014
•
10mins
Ranked #14
Managed Futures Indices and Industry Performance
Managed Futures Indices and Industry Performance
Pioneering work in index construction and the performance challenges of recent years: An industry veteran reflects on t... Read more
30 Jun 2014
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23mins
Ranked #15
How many trend followers is optimal in a multi-manager portfolio?
How many trend followers is optimal in a multi-manager portfolio?
Kathryn Kaminski (Ph.D.), a researcher and author, with the Institute for Financial Research in Stockholm and affiliated... Read more
13 Jun 2014
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2mins
Ranked #16
Convergent and Divergent Risk Taking
Convergent and Divergent Risk Taking
Kathryn Kaminski (Ph.D.), a researcher and author, with the Institute for Financial Research in Stockholm and affiliated... Read more
13 Jun 2014
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8mins
Ranked #17
Style Analysis in the CTA space
Style Analysis in the CTA space
Kathryn Kaminski (Ph.D.), a researcher and author, with the Institute for Financial Research in Stockholm and affiliated... Read more
13 Jun 2014
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3mins
Ranked #18
Constraints on institutional investors in the hedge fund space
Constraints on institutional investors in the hedge fund space
Robert Kosowski (Ph.D.) a researcher in finance and risk management at Imperial College, London, discusses the relations... Read more
13 Jun 2014
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14mins
Ranked #19
Cross-Asset Class Risk Premia
Cross-Asset Class Risk Premia
Antoine Haddad, Bainbridge Partners, discusses the evolution of asset allocation and enhanced diversification opportunit... Read more
13 Jun 2014
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9mins
Ranked #20
Is trend following really a long volatility strategy?
Is trend following really a long volatility strategy?
Kathryn Kaminski (Ph.D.), a researcher and author, with the Institute for Financial Research in Stockholm and affiliated... Read more
13 Jun 2014
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3mins